United States       Solid Waste and      EPA/530-R-97-004J
Environmental Protection  Emergency Response     December 1996
Agency          (OS-343)

RCRA Permit Policy

Compendium
Volume 10
9500.1980-9522.1996

Permitting Policies
• Priorities
• Corrective Action
• Special Permitting
• Compliance & Enforcement
• Public Participation

Permitting Procedures (Parts 124 & 270)
• General
                              ATKl/3590/llkg

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9522 - GENERAL
INFORMATION
Part 270 Subpart A
                   ATKl/l 104/56 >v

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                                                               9501.1982(01)


                                  JUL   3 -382
  Guidance for Permitting of Hazardous Waste Incinerators


  John Skinner, Director
  State Prograns and Resource Recovery Division

  Regional Hazardous Waste Division Directors


     As you are aware, the amendment for hazardous waste inciner-
ators was published: in the Federal Register on June 24, and was
accompanied by a notice antiouncing that the suspension on calling
Part B's for incinerators has been lifted.  The •information burden"
clearance frore OMB was also received recently (clearance $2050-0002)
The Agency is thus in a position to begin the permitting process for
these facilities.  This memorandum is intended to provide guidance
as to the priorities which should b« followed in formulating
regional plans for permitting incinerators.

     In Rita Laveila's merorandun of June 18 to the Regional Admin-
istrators various targets were set for the numbers of incinerator
petraits to be issued in FY 33 and the numbers to be called in FT 83
for issuance in FY 84.  These targets were set for each region on
the basis of the permitting resources projected to be available.
Assuming roughly a year's time from the tiae a permit is called to
when it is issued, adherence to the targets will necessitate calling
a substantial number of incinerator Part. B's daring the remainder
of this fiscal year, and daring the first quarter of FY 83.  Inciner-
ators mast be considered to be the first priority of the RCRA
permitting program in the coming months.

     In establishing priorities for permitting of hazardous waste
incinerators we expect to use the same general approach we have
been using for storage facilities.  That is* new facilities will
be assigned the highest priority for permit issuance, and existing
facilities should be prioritized according to their potential for
causing environmental harm.  The following are factors which
should be considered in ranking existing incinerators for calling
Part B application**

            o Age of the facility
            o Six^ '
            o Proximity to population center*
            o Complexity of the waste mixtures incineratsd
            o Toxicity of the wastes incinerated
            o Prior history of poor operation or air pollution
              violations

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     It should be expected that nost incinerator facilities win
also have some typ« of storage capability at the site.  In such
cases the Part B should be called for both the incinerator and the
storage facilities.  These storage facilities can be counted against
the permitting targets in Attachment 1 of Rita Lavelie's Juris 13
nenbrandun, according to the specified substitution ratios.

   :  If there are any questions regarding the incinerator peraittinq
program, please contact Randy Chrianon of my staff at 382-4535.

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                                                              9501.1932(02)
         29  DEC 82
MEMORANDUM

SUBJECT:  RCRA Land Disposal Permit Strategy

FROM:     John H. Skinner, Acting Director
          Office of Solid Waste

TO:       Regional Hazardous Waste Division Directors
     On January 26, 1983, the new Part 264 hazardous waste land
disposal regulations will become effective, and EPA will begin
the process of requesting Part B applications for selected land
disposal facilities.  This memorandum is intended to provide
guidance on selecting facilities for priority attention in this
initial phase of the land disposal permit program.

     The decisions as to which land disposal facilities will be
permitted first, and why, must be made carefully.  Each of these
permit actions will require a considerable investment of the
Agency's permitting resources, and they must therefore be targeted
to achieve maximum environmental benefits.  In addition, this
permit program will be highly visible and subject to intense
scrutiny by the public and the regulated community.  To assist in
making the initial call-in decisions, we strongly urge that the
states be consulted and actively involved in the selection process.
Some states may already have developed their own land disposal
permit strategies, and these should be accommodated by the
regions to the extent that they do not conflict with EPA's
objectives.

     The primary objective of the RCRA land disposal permit
program must be to maximize the benefits to public health and
the environment.  This is consistent with our previous policies
for permitting hazardous waste storage facilities and incinerators,
The following priorities should be assigned by the regions in
assessing Part B call-ins for land disposal facilities:

    —Facilities which are known to be sources of groundwater or
      surface water contamination.  Highest priority should be
      given to cases where sole source aquifers and other drinking
      water supplies are being endangered.  Information regarding
      groundwater contamination should be solicited from the
      states, and may also be available from interim status
      quarterly reports and other sources.

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                                     -2-


    —Facilities which may be causing environmental damage.  This
      could include facilities which have histories of poor
      operating practices, prior enforcement actions, inadequate
      liner systems (where applicable), or  inspection reports
      indicating improper facility designs  or unsafe management
      practices.  Facilities which have yet to report groundwater
      monitoring data, or for which data  is questionable should
      be examined closely for permit action.  Again, primary
      emphasis should be on protection of valuable aquifers and
      other water supplies.

    —Facilities which pose potentially significant environmental
      risks.  Assessment of environmental risks could include
      the proximity of the facility to population centers, aquifers
      and surface waters, facility size,  nature of the wastes
      being disposed of, and other environmental factors.


     In addition to these primary environmental considerations,
several other factors should be taken into  account:

     New Submissions.  Permit applications,  for new facilities
should continue to receive high priority  on the region's permit-
ting resources.

     Multi-Process Facilities.  It has been the Agency's policy
that facilities which contain more than one type of process
should be covered by one compreprehensive permit.  As a result,
some high priority incineration facilities  have not yet been
called since they are located with land disposal operations.
The regions may wish to target these facilities for the first
round of call-ins.

     Monofills and Neutralization Surface Impoundments.  As
explained in the preamble to the new Part 264 land disposal
regulations, EPA currently plans to propose adjustments to its
regulatory approach for monofills and neutralization surface
impoundments.  Part B's for these two types of facilities should
therefore be given lower priority for call-in unless there is
evidence that such a facility is causing  environmental damage.

     Effects on Competition.  It is possible that permitting of
a facility or facilities could have some  effect on business
competition.  This is roost likely in a case where a commercial
land disposal facility is required to obtain a RCRA permit while
a nearby competitor is allowed to remain  under interim status.
Regions should consider effects on competition in formulating
their overall call-in strategies (for example, calling all
commercial landfills in an area at the same time).

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                                     -3-
     Although the Agency has not yet received OMB approval to call
Part B's for existing land disposal facilities, we expect to
receive approval by January 26.

     The importance of this permitting effort demands that EPA
begin its implementation as soon as it is legal and practical to
do so.  I therefore request that the initial round of call-in
letters be prepared in advance by each region so that they can
be mailed immediately after the regulations become effective.
Subsequent call-ins to fulfill regional target commitments
should be timed so as to balance workload demands.

     If there are any questions or comments concerning strategies
for calling land disposal facilities, please contact Steve Levy
at 382-4740.

cc:  Regional Hazardous Waste Branch Chiefs
     S. Napolitano
     B. Weddle
     S. Levy
     J. Lehman

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                                                            9501.1984(01)


                             NOV  - 9 I96J
SUQJECTi  RCP.A Reauthorliation Statutory Interpretation tli
          Immediate Permit Requirements  "

PROMi     Loe M. Thonas
          Assistant Administrator

TOt       Addressees


     On November £, President Reagan signed The Hazardous and
Solid Haste Amendments of 1984.  These amendments to the
Resource Conservation and Recovery Act (RCRA) will have a
profound effect on Almost every aspect of the management of
hazardous waste in thi« country.  Provisions are effective
in both authorized and unauthorized States.  EPA is responsible
for implementation until a State is authorized for the new
provisions.

     This memorandum alerts EPA Regions and States to those new
provisions of the Act immediately applicable to RCRA permits
issued as of the date of enactment (DOE), November 9, 1984.
Permits in process, Including draft permits, must address the
newly effective requirements before issuance.  It is important
to note that in authorized States, EPA is responsible for
incorporating the new provisions into the permit.  Therefore,
issuance of a valid RCRA permit in authorized States must be
accomplished through joint permit processing with EPA until
States are authorized for the new provisions.

     To assist in identifying the extent to which draft pernits
and permits under development* as veil as penait applications,
must now be revised, the attached table briefly describes, by
facility type, the new requirements which are to bo immediately
reflected in final permit conditions.  The attachment does not
include provisions that affect the perait program at later dates,
nor does it cover early enactment provisions beyond permitting.
Subsequent memoranda will describe the full range of new RCRA
provisions that afreet hazardous waste management programs at
the Federal and State levol, including joint penait processing,
and will include a schedule of implementation guidance.

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                               -2-
     While new requirements for permit applications  already
in process nay delay tbe issuance of sons permits, other perrait
processing activities will not bo substantially affected.
Activities that should continue include:

     • Requesting land disposal permit applications.   However, "'
       under the new legislation, within  one year of enactment
       all existing interim status land disposal facilities
       raust submit thoir Part B permit application,  as well  as  a
       certification of compliance with applicable ground-water
       and financial responsibility requirements, in order to
       retain interim status.  Because of the new statutory
       requirement, the timeframa provided in the National Permits
       Strategy for requesting remaining  land disposal pernit
       applications, including the on* year extension into FY 1986,
       is eliminated.  Current schedules  for calling in land
       disposal facilities should be reevaluated and new schedules
       should be, developed which will conclude all Part B requests
       for existing interim status land disposal facilities  within
       the first six months of enactment;

   .  • Requesting remaining incinerator applications,  as
       scheduled;

     0 Processing interin status closures.  However, owners  •
       and operators of land disposal facilities that received
       waste after July 26, 1982, and closed between that date
       and January 26, 1983, should be advised in writing that
       the new RCRA amendments extend the Part 264 ground-wat«r
       monitoring and response requirements to them.

     ' Joint inspection and perait writer visits within ninety
       days of the permit application request should continue.
       These visits should be used to assist facilities in under-
       standing new requirements, as well as to offer them
       advica on application requirements that have  not changed;

     • Continuing technical evaluations of those parts of the
       permit applications that are not affected By  the RCRA
       amendments;

     • Preparing public participation plans for the  environmentally
       significant facilities whose permit applictions are in
       process or^ill be requested in FY 1985.

     For your information, we are currently in the reidst of  a
process to identify and analyze the issues that reauthorization
poses for near-term implementation of the RCRA program.  Our a in
is to prepare the policies and guidance that the Regions and.
States need on specific reauthorization issues according to their

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                               -3-
slgnificance and Immediacy.  Additional "RCRA Reauthoritation
Statutory  Interpretations' will b« issued periodically to alert
Regions, States and other affected or interested organisations
to the  interpretations of various provisions such as those
described  in the attachment, aa well as to key changes in program
directions and policies.necessitated by the latest RCRA amendments,

     Until guidance is provided on the new permit requirements
highlighted in the attachment, I encourage you to call   • - •'
Peter Guerrero, Chief, Permits Branch (PTS-382-4740) to discuss
their scope, policy interpretations and'implementation procedures.

Attachment

Addre«seeai

Regional Administrators,  Regions I-X
Regional waste Management Division Directors, Regions I-X
Hazardous Haste'Branch Chiefs, Regions I-X .        *
Regional Counsels, Regions I-X    '   '
State Hazardous Haste Prograa Directors         -.  ••
Assistant Adainistrator for Enforcement and Compliance Monitoring
Associate General Counsel for Solid Wast* and Emergency Response
OSKER Office Directors

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                                                                  9501.1985(01)
                                 OCT   ! '985
        iL'DJECTi    Application of November 19C3 Deadline to
        £:'.G.VI       J.  Winston Porter
                   Assistant Administrator

        TO:         Harry  "erayJarian,  Director
                   Toxics and 'Vaate iianaceir-ent Li vision


             In year merrorandura of August 30,  you requested  cur
        interpretation regarding application of the liovenber 1968 dead-
        line  to vasts  pile* and post-closure permits.  We agree with
        your  conclusion that all vasts piles are subject to  $213(c) of
        liSWA  requiring issuance or denial of all land  disposal permit
        applications by November 1988.  This interpretation  is consistent
        with  J201(k) of HSWA which includes waste piles  in the definition
        of land disposal.

             With regard  to the priority of post-closure permits, we
        recognize the  difficulty in making final determinations on all
x       land  disposal  applications by November 1988.  We must* however,
£       continue to strive to meet that goal*   Therefore, in order to
^       achieve the greatest environmental benefits from available re-
t"       sources , high  priority should be placed on the processing of
^L       operating land dispose,! unit applications and  Part 265 closures.
2       For those land disposal units where releases are likely or have
^       already been identified, either }3008(h) orders  or 5 3004 (u)
        authority through post-closure permits should  be used.  The
£       oelection of the  appopriate mechanise for addressing these

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               UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                                                          9501.1986(01)
                                 II 666
Mr. Kenneth L. Vaesche
Director
Waste Management Division
Colorado Department of Health
4210 East llth Avenue
Denver, Colorado  80220

Dear Mr. Waeache:

     Than* you for your letter of July 25, 1986, In which you
identified potential issues associated vieh the permit application
for destruction of nerve agents at the Pueblo Army Depot.  Because
Congress mandated, under P.L.99-145, that the Army destroy the
U.S. stockpile of nerve agents by September 30. 1994,  EPA considers
thy permitting of incinerators to destroy the nerve agent stocks
a high priority.  We set January, 1988, as the target date for
final issuance of the KCRA permits because we anticipate It will
take at least several years to construct these incinerators once
the RCRA permits are Issued.  The high permitting priority tor
the nerve agent projects is reflected In FPA's FY-1987 RCRA
Implementation Plan.

    We recognize that Colorado has other high priority work
involving land disposal facilities.  However, Colorado and EPA
Region VIII oust factor the Pueblo permit application Into the
State grant workplan negotiation process to ensure that it receives
priority attention in FY-1987.  If you believe Che State does not
have adequate resources to process this application, you should
consider allowing EPA to assume the lead for processing it,
though Colorado would be responsible tor issuing the permit.

     EPA has stressed to the Any that they are subject to State
requirements, loth technical and administrative, which may be
more stringent and also more extensive (i.e., siting approvals)
than the Federal requirements, and that the Army needs to work
with the State* where their facilities will be located to ensure
that ail State requirements are met In a timely manner.  EPA  (HQ)
la heavily Involved in this project to provide technical guidance
and assure coordination between the Army. EPA Regional Offices,
and the States.  This involvement was supported by the States,
Regions, and the Army, at the May  15-16, 1986, EPA-State-Army
meeting.  Chip Stewart of the Colorado Department of Health
represented Colorado at that meeting.

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     The permitting tineframe that we have established tor the
Aray co neet the Congressionally Mandated deadline of 1994 is,
admittedly, anbitioua.  There are many aspects of this prelect,
such as Part B application deficiencies and siting difficulties,
that nay affect the ability co meet the mandated deadline.  The
Any is well aware of the problems and is working with the States
and Regions to resolve these issues early in the process.  The
EPA-State-Amy workgroups which have bean active this summer is
one atteapt to ensure chat the A nay* s applications are complete
and thereby minimi xe the need for multiple and time-consuming
Notices of Deficiency (MODs).  (Chip Stewart has been a workgroup
participant and we appreciate his input.)

     With regard to the siting issues, the Amy has launched an
expanded public information program in an atteapt to make the
public more receptive to the new facilities.  The Amy has held
two public meetings on their Environmental Impact Statement (EIS)
for this project in Pueblo, Colorado, on April 28, and August 21,
1986.   Similar public meetings were held for the other proposed
sites, which are located throughout the U.S.  The purpose of the
meetings on Che EIS is Co in torn the public about the strategy
and the riaks posed by the nerve agent disposal program, and to
aolicic coements regarding the EIS.  The deadline for public
coonaent on the EIS is September 23, 19S6.  It is my understanding
coat the Army plans to have an expanded public information program
during FY 1987 for all tneir permit applications.

     I appreciate your concern regarding Che difficulties which
may be encountered in processing the permit application  for the
Pueblo Army Depot and your raising chea to me at this time.   I
urge you co raise the permitting priority issue and other resource
concerns during Che annual grant negociatlon process with the EPA
Region VIII Office, which I believe Is underway now.

     Please feel tree Co contact me It you have additional questions
or concerns.

                                      Sincerely,
                                       Arthur  Gla»er
                                       Chief,  PAT  Incinerator Section
cc:  Bruce Ueddle                Larry Wapensky
     Lie Cotsvorth               Denlse Hawkins
     Ken Shuater                 Bob Duprey
     Robin Anderson              Jon Yaagley

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                                                        9501.1987(01)
     cr- S T
MEMORA-SCL'N

SUBJECTi   Land Disposal Facilities Not on a Permitting or
          Closure Schedule

FROKi     Marcia E. Williams, Director
          Office of Solid haste

TOi       Hazardous Wast* Division Directors, Regions 1-10


     In November 1986, OS* began tracking progress toward the
November 1988 permitting deadline in the RCRA Permit Activities
Monthly Report.  This report includes a number of facilities
that are not on a multi-year strategy for permitting or
closure.   These facilities lack a multi-year strategy for a
number of reasons.  In some cases, the facility no longer
functions as a RCRA site (e.g., the facility i* bankrupt or
under 6uperfund's jurisdiction), or is not considered to be
a land disposal facility but has not been reeoved fror. the
land disposal universe.  However, in moat cases the facility's
RCRA regulatory status is unresolved.

     All facilities that are RCRA-regulated facilities are
subject to the permitting deadline.  Delays in determining
their regulatory status could lead to missing the permitting
deadline at these facilities.  As a. result, we should resolve
the regulatory status of these facilities as soon as possible.

     Attached to this memorandum is a list of these facilities
in your He9ion (this list is found in OSW's RASrt&KU in the
Multi-Year Strategy section under the title. "List of Facilities
Liot on the Disposal Multi-Year Strategy with C305-D in HWDM2",
All Keyions have access to the RASMENU.).  Please resolve the
regulatory status of these facilities by Kovenber 1, 1967, in
the following fashiont

     1).   Send a permitting or closure nulti-year strategy
          for the land disposal facilities on this list that
          are subject to RCRA regulation to George Garland,
          Chief of the State Programs Branch.  O&W's
          Information Management Staff (IMS) will then assign
          the appropriate multi-year strategy designation to
          these facilities.

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     2).  Replace the C305-D c^signation in HWDMS with the
          correct C305 designation for any facilities that
          are no longer subject to kCRA regulation (e.g.,  if
          a facility is actually only a RCRA storage facility,
          it should becone C30S-S, if it is not a RCRA-
          regulated facility, C305 should be blank).

     3).  Keep the C305-D designation for all bankrupt
          facilities or facilities now subject to Superfund.
          OSHEfi is currently creating a new designator in
          HWDMS that will identify these facilities.

     In a number of cases* Regions have discovered operating
land disposal facilities that do not have either interim
status or a peraiO-oyeiaLiiKj as land disposal .facilities-.
When these facilities are discovered, they are entered into
HWDMS as C305-D facilities.  They automatically appear in
the "not on a pernit or closure track' category.  IKS moves
these facilities into the closure track after consulting
with the Region involved.  We will continue this practice
for all newly discovered illegal facilities.

     If you have any questions, please contact Chat Miller of
the Information Management Staff on  (FTS) J&2-2220.

Attachment

cci  Jack McGraw (without attachment)
     KCRA Permit Section Chiefs, Regions 1-10
     HWDMS RPO's, Regions 1-10
     Kate Bouve (without attachment)
     Pruce Waddle (without attachment)
     Ken Schuster (without attachment)
WH-563:CM:cmi382-2220*9/11/87tCM's  disk7doc99

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              UNITED STATES ENVIRONMENTAL R*OTECTION>*ENCY        9501.1987(02)
                            DEC I 4 I9SI
MEMORANDUM

SUBJECT:  RCRA Program Directions for FY 1989

FROM:     J. Winston Porter
          Assistant Administrator

TO:       Regional Administrators
          Region I-X

     During the development of the FY 1988 RCRA  Implementation
Plan, several Regions expressed a desire to take a more
integrated approach to addressing environmentally-significant
facilities and activities.  I agree that as we move  beyond
the November 1988 land disposal permitting deadline,  we  need  to
focus even more of our resources on corrective action and closure
at the entire universe of environmentally-significant facilities.

     To direct our resources toward these goals, we  will need
effective ways to identify the most significant  facilities.
with the development over the last few years of  facility
management plans and multi-year strategies, we began  a process
to establish priorities based on the environmental significance
of facilities.

     In an effort to refine and apply this process more  broadly,
some Regions have established systems to rank all  facilities  and
activities based on potential threats to human health and environ-
mental significance.  As we incorporate an even  greater  emphasis
on health and environmental benefits in our decision making  and
priority setting, it becomes increasingly  important  for  RCRA
program managers to continue to refine and apply their screening
and ranking systems to Identify those facilities posing  the
greatest health and environmental risks.

     In FY 1989, efforts to establish priorities should  be
expanded to encompass the entire universe  of  facilities, including
all treatment, storage, and disposal facilities, whether operating
or closing.  We do not envision this to be a  highly  resource-
intensive effort but rather anticipate that existing data  sources
and Regional and State knowledge of site conditions  can, to  a
large extent, be used to establish priorities.   In addition,

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                                     pRe^ecrtoN AGENCY
                             -2-
aince a number of these priority  facilities nay ultimately be
eligible for management under  Superfund,  Superfund resources
also will be available to assist  in  the  initial screening and
ranking through the PA/SI process.   This  preliminary establish-
ment of priorities is an integral part of the  Environmental
Priorities initiative  (EPI).

     Once environmentally significant facilities have been
identified, high priority should  be  placed in  PY 1989 and beyond
on addressing corrective action and  permitting or closure/post-
closure at the most significant facilities, regardless of RCRA
and CERCLA authorities to address these  facilities.  Although
the 1989 incinerator deadline  will continue to be an important
goal, some reallocation of  resources from incinerator permitting
to other environmentally-significant facilities and activities
may by justified on a case-specific  basis. As part of this effort
to increase our focus on the most environmentally-significant
facilities, the Office of Solid Waste is  examining revision of
the SPMS system to better reflect the level of effort and
environmental benefits associated with the various targetted
activities.

     This memorandum is intended  to  help  focus your initial
planning activities for FY  1989.  Additional guidance will be
provided in the FY 1989 RCRA Implementation Plan, the FY 1989
Agency Operating Year Guidance, and  through the EPI Task Force.
Also, to help support these planning efforts,  OSWER will be
issuing guidance on the use of Section 3008 (h) orders, RCRA
National Priorities List listing  policy,  and post-closure
permits as tools for instituting  corrective action.  Finally,
as part of the EPI, Superfund  resources  will be used to conduct
approximately 1,000 new preliminary  assessments  (PAs) on the
highest priority sites and  you will  have available for priority
setting purposes information on RCRA sites that are now  in CERCLIS
and that have received PAs  and Sis.   Guidance  on  this effort
also will be provided.

     As we plan for the challenges of FY 1989, I  look forward  to
working with you to ensure  the greatest  level  of  environmental
benefits are achieved.

cct  Deputy Administrator
     Regional Division Directors
     Regional RCRA Branch Chiefs
     Regional Enforcement Branch  Chiefs
     Regional Superfund Branch Chiefs

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                                   9501.1987(03)

                   CTION AGENCY

WASHINGTON, O.C. 20460
  \        UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
   2irC 28 ' --- "                                   SOUD WASTE AND EMERGENCY



MEMORANDUM
SUBJECT:   Impact of Proposed Rules on Permit Deadlines

FROM:      Marcia E. Williams, Director  M^r,/  U?^ — • —
           Office of Solid Waste  (WH-563)1 ^"^

TO:        Allyn M. Davis, Director
           Hazardous Waste Management Division (6H)
           Region VI


     Your  memo of  November  30 indicated concern  that the  timing
of the proposed location standards and  incinerator  rules  may
jeopardize your ability to  meet  the 1988 and 1989 permit  deadlines.
The draft  location and incinerator standards were developed
partly in  response to public concerns about shortcomings  in  fie
current  regulations.  I do  not believe  that delay of these  important
regulations until  after the 1988 and 1989 statutory permitting
deadlines  would be an environmentally sound decision in light of
their importance.

:     We  do recognize, however, that proposing new regulations  in
the midst  of the permitting process has the potential  to  delay
certain  permit activities where  the public is concerned about
CPA and/or the State  issuing a permit that does  not incorporate
the new  requirements.  In order  to minimize any  disruption  of
the permit process, we will continue to share drafts of these
.rules with the Regions prior to  proposal.  Where you conclude
that the draft  rule contains a requirement applicable  to a  ,
permit you are drafting and that such a requirement is needed
to protect human health or  the environment, you  can use the
omnibus  provision  to  add  that  requirement to- the draft permit.

     When  we propose  the  new incinerator  requirements  in the Spring,
the preamble will  explain that we  have  provided  guidance documents
to the permit writers to  help  them implement  the proposed controls
immediately under  the omnibus  authority codified at  S270. 32(b) •.'.').

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     While we currently do not plan to include a similar discussion
in the proposed location standards rule,  you may also use the
omnibus provision to apply a proposed location requirement to a
particular facility.  The Permit Assistance Teams are available
to assist you in resolving any permit specific issues that arise.

     In conclusion,  I believe that if we work together we can
minimize any permit  delays these new regulations may cause.
Should the regulations legitimately cause you to miss a SPMS
commitment, we will  be able to renegotiate these on a case-by-
case basis.  I would expect, however, that we can jointly keep
delays to a minimum  through regular communication on the
direction of the rules and on their impact on particular permits.

cc:  Regional Hazardous Waste Division Directors
     Thad Juszczak
     Bruce Weddle
     Joe Carra

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                                                              9501.1990(01)
                 RCRA/SUPERFUND HOTLINE  SUMMARY

                             JULY 1990

2.   Toxicity Characteristic Waste Part B Permit Application Deadlines

An existing, previously unregulated facility may become subject to RCRA
regulations (and begin to operate under interim status, 40 CFR Part 265
regulations) because it is handling a waste newly regulated  due to the
Toxicity Characteristic (TC).  According to  the March 25, 1990 Federal
Register (55 FR 11798), the facility must submit a Part A Permit application
six months from the date of  publication in the Federal  Register (55 FR
11846) by September 25,  1990. When must  the facility submit the Part B
portion of the  permit application?

    The date on which the facility  must submit its  Part B  permit
    application depends  on the type of unit. If the permit is for a facility
    other than a "land disposal facility," then  the TSDF must submit its
    Part B application when EPA requests it, with a date  established that
    provides the facility at least six months notice. (40 CFR 270.1 (b)) If the
    facility meets the definition of a land disposal  facility, then the Part B
    must be  submitted no later than 12 months after the date on which
    the facility first becomes subject to the permit requirement (40 CFR
    270.73(d)(D), in this  situation, by September 25, 1991.  The definition
    of land disposal facility is not codified in 40 CFR,  but  a statutory
    interpretation  can  be found in  the September 25, 1985  Federal
    Register. (50 FR 38946) The Agency interprets the term to encompass
    the  following  facilities:  "landfills;  land  treatment units;  surface
    impoundments for disposal,  treatment, or storage; waste piles; and
    Class I hazardous waste underground injection wells". (50  FR 38947)

Source:        Wayne Roepe, OSW    (202) 475-7245
Research:      Cynthia Hess

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9502 - CORRECTIVE
ACTION
                 ATKl/l 104/53 kp

-------
                              - 2 -

      The  final codification rule does not set standards for
implementation of §3004(v) and states that in the interim
decisions to issue orders for this section shall be done on
a  case-by-case basis.  This section of HSWA provides that:

       As  promptly as practicable after the date of
       enactment...the Administrator shall amend the
       standards...regarding corrective action required
       at  facilities for the treatment, storage, or
       disposal,  of hazardous waste...to require that
       corrective action be taken beyond the facility
       boundary where necessary to protect human health
       and the environment....

If you are interested in pursuing such an order for this
facility,  you should contact Ginny Steiner of the Office of
Waste  Programs Enforcement at FTS 475-9320.

     We are as yet unsure what mechanism to use in applying
§3008(h)  to Federal facilities due to our dispute resolution
policy for such  facilities.  Normally, however, if a facility
is operating under interim status, the authorities in
§3008(h)  can be  used to deal directly with on-going environ-
mental problems.  The trigger for issuing such orders and
initiating civil referrals is the existence of a release-
However,  because of the nature of the $3008(h) provision,
it ia  subject to limitations.  Your question is not entirely
clear, however,  in terms of what units are leaking and
their  permitting status.  You state that the pond is a RCRA
unit and  then state that it has no ground-water monitoring
system.   If the pond is operating pursuant to the interim
status requirements, it must have a ground-water monitoring
system.   If you have specific questions on this process or
how it should be implemented, please call Ginny Steiner at
the number listed above*

     In addition, you have asked whether it is significant in
determining the  applicability of RCRA corrective action that
one or more contaminants being released through the NPDES
point  are not specified in the permit.  This factor is not
significant in determining RCRA's applicability to the
release.   Tfcsf key queation is whether the release from an out-
fall addressed in the NPDES permits is within the exemption
for NPDES discharges found in §1004(27) of RCRA.  We are
currently developing guidance covering RCRA jurisdiction and
NPDES  discharges.

     You  have also asked whether a release which occurred prior
to the date of the NPDES permit could be addressed by correc-
tive action measures pursuant to §3004(u).  Corrective measures
could  apply to a release which occurred prior to the issuance
of a NPDES permit.  As a matter of policy EPA has decided to

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           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY.
                       WASHINGTON, O.C. 20410

                          APR 18
                                                           Of
                                              SOLID WA4TC AND CMCMGCMCV M(S»O

 MEMORANDUM                 OSWER POLICY DIRECTIVE #9502.00-2

 SUBJECT:   RCRA,Correctiye Action  at  Federal  Facilities
               /, w->   .'V't.
'FROM:      J.  CTinscon Porter
           Assistant Administrator

 TO:        Peqional Administrators,  Regions  I  -  X


      On March 5,  1986, we oublished  two  notices in  the  Federal
 Register (copies  attached)  about  corrective  action  at Federal
 facilities.   I am writing to  clarify some  possible  misconcep-
 tions  over the two March 5  notices.

      The  first notice states:   (1)  $3004(u)  applies to  Federal
 facilities;  (2)  Federal agencies  are subject  to the same
 "orooerty-wide"  definition  of  facility as  other owner/opera-
 tors;  and (3)  the term "owner"  aoplies to  individual Federal
 deoartments,  agencies, and  instrumentalities  rather than  the
 M.S.  government.   The second  notice  announces EPA's intent
 to promulgate rules to further  clarify Federal  ownershio  and
 to establish  a scheme of priorities  for  corrective  action at
 Federal facilities.

      Our  office has heard conflicting statements  on the effect
 of EPA's  intent to promulgate  a rule on  national  priorities.
 Some  Federal  agencies may incorrectly believe that  corrective
 action has -been "put on hold"  until  EPA  issues  a  final
 regulation.   Thl« is not true.   Until EPA  issues  a  final  rule
 on priorities Cor corrective  action  at Federal  facilities,  the
 Regions »u»t  continue to process  arid issue permits, including
 negotiating corrective action  schedules  of compliance under
 $3004(u). Current permitting  negotiations on corrective action
 between EPA and Federal.agencies  must not  be affected by the
 two Federal Register notices.   EPA shall continue to require
 corrective action at Federal  facilities  and EPA shall
 continue to  require schedules  of  compliance in the  permits  of
 Federal facilities.  Where appropriate,  administrative orders
 under $3008{h) should also be issued to  direct Federal agencies
 to conduct corrective action  activities  prior to issuance of
 the permit.

-------
     In negotiating schedules of compliance, the Federal
agencies may legitimately raise the issue of the relative
priority of the facility in question.  Where EPA, the State
and the Federal agency aaree that the facility is of lesser
importance, the timeframes for conducting corrective action
activities in the schedule of compliance should reflect this
Where the three parties are unable to agree on the schedule
for conducting corrective action activities, these disputes
should be referred to Bruce Weddle, Director, Permits and.
State Programs Division, OSW, or Lloyd Guerci, Director,  *
RCRA Enforcement Division, OWPE, to resolve permitting or
enforcement issues, respectively.  We are prepared to work
with the Federal agency Headquarters to obtain resolution of
these problems.

     I have already written to the major Federal agencies
(Departments of Energy, Defense and the Interior) to explain
our intent to continue the permit process and to negotiate
schedules of compliance for corrective action.  I urged each
of them to begin considering their own priorities to facili-
tate the negotiation process, and I will meet with each
agency to discuss its plans.

     While negotiation of corrective action schedules of
compliance may be handled on a case-by-case basis until the
final rule is promulgated, there is one area discussed  in
the Federal Pegister notice which we cannot address without
a regulation.  The notice states that in some situations
where a private party has oartial property  interests such
as leases or mineral extraction rinhts, it may be aporopriate
to define the facility boundary in terms of the private
party's property interest rather than the Federal agency's
property interest.  In these limited situations the private
party would be responsible for taking corrective action
rather than the Federal government.  In all such cases
prior to issuance of the final rule, the Federal agency
will be considered the owner of such property and will  be
held responsible for releases from such operations and  for
releases on its contiguous Federal lands.

     I hope this will help to clarify corrective action at
Federal facilities.  Questions on this subject may be
addressed to Paul Connor, Federal Facility  Coordinator  in
OSW (PTS 475-7066) for permitting issues or to Tony Baney,
Federal Facility Coordinator in OWPE~^(FTS 382-4460) for
enforcement issues.

Attachments

cc:  Director, Hazardous Waste Divt«ian,
      Peg ions I-X
     Chief, Hazardous waste Branch,
      Regions I-X
     Allan Hirsch, OFA
     Regional Federal Facility Coordinators,
      Regions I-X

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                                                        9502.00-3
August 4, 1986
MEMORANDUM
SUBJECT:  Implementation of UIC Corrective Action Requirements

FROM:     Michael B. Cook, Director
          Office of Drinking Water

          Marcia Williams, Director
          Office of Solid Waste

TO:       Charles H. Sutfin, Director
          Water Division, Region V

          Basil G. Constantelos, Director
          Waste Management Division, Region V


     Several issues have recently been raised by Region V
regarding how RCRA corrective action requirements under §3004(u)
should be addressed when issuing permits to hazardous waste
injection wells under the Safe Drinking Water Act.  This
memorandum is intended to clarify several points of guidance
contained in Underground Injection Control Guidance #45, issued
on April 9, 1986.

     As outlined in the above guidance, a UIC permit may be
issued to a hazardous waste injection well at a RCRA interim
status facility, without addressing the requirements of RCRA
§3004(u).  In such case, the well retains RCRA interim status
until such time as the entire facility is addressed for the
purposes of corrective action.  When the §3004(u) requirements
have been addressed for the entire facility, the well obtains a
RCRA permit by rule.  The §3004(u) requirement cannot be
implemented selectively at the well only.

     For a UIC permit which is issued at an interim status
facility for which the §3004(u) requirement is not addressed, a
corrective action program for the injection well  (as outlined in
Section VIII of Guidance #45) should be followed.  Such
        This has been retyped from the original document.

-------
                               -2-

corrective action programs will be implemented under SDWA
authorities, and need not invoke RCRA §3004(u).

     To the extent that existing SPMS accounting measures specify
that UIC permits for hazardous waste injection wells must also be
RCRA permits by rule, we will work to adjust those measures to
reflect the guidance in this memorandum.

     We appreciate the complexity of these issues, and the
difficulties inherent in effectively coordinating and
implementing these new requirements.  If  you have any questions
or further problems, please contact Ellen Berick in the Office of
Drinking Water (382-5547), or Dave Pagan  in the Office of Solid
Waste (382-4740).


cc:  Hazardous Waste Division Directors,  Regions I-X
     RCRA Branch Chiefs, Regions I-X
     Water Division Directors, Regions I-X
     Drinking Water Branch Chiefs, Regions I-X
     B.  Weddle
     P.  Baltay
        This has been retyped from the original document.

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           UNITED STATES ENVIRONMENTAL PROTECTION AGEfl8Kt?» POLO DIRECTIVE NO.
                       WASHINGTON. D.C. 20460

                                                 950 2. 00-'T



                           AUG2I 1966
                                                        OFFICE OF
                                               SOLID WASTE AND EMERGENCY RESPON:
MEMORANDUM


SUBJECT:  ImplementatioAaf_ RCRA Facility Assessments
                            ,
FROM:     J. Vornston  Porter,  Assistant Administrator
          Office  of Solid Waste and Emergency Response

TO:       Hazardous Waste Division  Directors, Regions I-X


     The purpose  of this memorandum is to  clarify existing
policy and to  provide further guidance on  implementation of
RCRA Facility  Assessments  (RFAs)  in the  RCRA permit and the
RCRA enforcement  programs in  the  Regions.

     As outlined  in previous  guidances,  as well as in- the
FY 86 and FY 87 RIPs,  the RCRA Facility  Assessment (formerly
referred to as PA/SI)  is designed to be  the  first step in
the process of implementing the RCRA corrective action process.
The general function  of the RFA is  to provide the basis for
the Agency to  make preliminary determinations as to whether
or not there are, or  are likely to  be, releases of concern
at a facility.  The RFA also  assists in  determining whether
or not, and what  types of,  further  investigations or interim
measures should be required of the  owner/operator.

     It is in  the Agency'*  interest,  and the public's interest,
to have made an overall assessment  of actual and potential
environmental  problems from all sources  at a facility, and to
have determined,  before issuing a permit,  %*iat investigations
must be initiated at  the facility to characterize the nature
and extent of  the contamination.  Each of  the Regions has
begun to initiate tome number of  RFAs.   It is cur understanding,
however* that  the RFAs being  conducted by  the Regions and
States vary significantly in  terms  of their  technical approach
and completeness. In particular, sampling and analysis,
which will often  be necessary in making  determinations in an
RFA, is in some cases not being done before  the permit is
issued.  In other cases, RFAs have  not been  conducted at all
prior to issuing  permits.

     An RFA should be completed before issuance of a RCRA
permit.  A "complete" RFA will typically include a site visit
as well as any sampling and analysis required to make the
necessary determinations in the RFA.  It should be understood

-------
                                                  OSAEft ruuu uiKumt


                             .2-                 9502.00-4

that, for the purposes of SPMS tracking, only complete RFAs
will be counted as accomplishments.

     If properly planned and executed,  an RFA can be completed
within a relatively short time frame (three months or less).
Since RFAs can be conducted concurrently with other permit review
activities, we believe that doing RFAs  prior to permitting should
have little impact on permit issuance schedules.  There may be
some facilities, however, which are scheduled to receive draft
permits in the next several months (i.e., this calendar year),
but for which an RFA has not been initiated,  if completing  an
RFA for such facilities is likely to substantially delay issuance
of the final permit,  Regions may consider having the necessary
sampling and analysis portion of the RFA done after permit
issuance,  under a schedule of compliance.  In such cases,  however,
the Preliminary Review and Visual Site  Inspection portions of the
RFA should be completed before the permit is issued.

     It may also be appropriate to conduct an RFA before taking
action under RCRA Section 3008(h), the  Interim Status Corrective
Action Authority.   Information from the RFA can provide evidence
necessary to meet §3008(h) criteria where it is not otherwise
available, and can provide information  necessary to properly
scope an order.  We recognize, however,  that it may not be
possible to conduct an RFA prior to  issuing an order in cases
where there is a need to initiate such  an action quickly or
when a facility is not a current RFA priority.  RFA priorities
for FY 1987 are all operating land disposal facilities scheduled
for permit issuance by November 1988, and 30 percent of the
closing land disposal facilities.

     Previous guidance has expressed a  preference for requiring
owner /opera tors to perform sampling  and analysis which may be
required to complete an RFA.  It should be understood that while
owner/operator support, if it can be secured on a timely basis,
is encouraged, owner/operator support should not be sought if it
cannot be expected to be timely or reliable.  Regions have been
provided substantial extramural funds to perform RFAs.  These
funds should be used as necessary to assure timely completion
of comprehensive RFAs.

     We recognize that completing RFAs  prior to issuance of
permits may have some implications in terms of timing and
resources tor certain facilities.  We ask that Regions communicate
any concern* regarding this policy to Dave Fagan (OSW) at FTS
382-4692.

cct Regional Hazardous Waste Branch Chiefs
    Regional RCRA Permit Section Chiefs
    Regional RCRA Enforcement Section Chiefs
    M.  Williams
    G. Lucero
    B.  Weddle
    L. Guerci

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                                                     9502.OC-6
           UNITED STATES ENVIRONMENTAL
                      WASHINGTON. O.C. 20460
                                              SCL'D AASTi AND £VER-£\C -
SUBJECT: Definition of Solid Waste Management Unit for the
         Purpose of Corrective Action Under Section 3004(u

FRQ^.:    Marcia E. r/:illia-s, Director
         Office of Solid Waste

TO:      Hazardous '-'aste Division Directors, Regions I-X


     The purpose of this memorandum  is  to provide clarification
regarding one aspect of the definition  of solid waste management
unit as related to RCRA corrective action under Section 3004(u).
The concept of a solid waste management unit has been explained
in various guidances since the passage  of the 1984 Hazardous
and Solid '%/aste Am.endents  (HSwA).

     As explained in the July 15, 1935  H3/JA Codification Rule,
a solid waste management unit is "... any unit at a facility
from which hazardous constituents might migrate, irrespective of
whether the units were intended  for  the management of solid and/
or hazardous wastes."  This definition  was intended to include
those types of units which have  traditionally been subject to
regulatory control under RCRA: container storage araas, tanks,
surface impoundments, waste piles, land treatment units, landfills,
incinerators, underground  injection  wells and other physical,
chemical and biological treatment units.

     A memorandum from John Skinner  to  the Hazardous Wasta
Division Directors (June 14, 1985) further interpreted the terrr.
solid waste management unit to include  areas at facilities whicn
have become contaminated by routine,  systematic and deliberate
releases of hazardous waste or hazardous constituents.  An
example of this type of "solid waste management unit" is a wood
preservative "kickback" area, where  drippage of preservative
fluids onto soils from pressure-treated wood is allowed to occur
over time.  This interpretation  was  reiterated in the final
RCRA Facility Assessment Guidance and the National RCRA
Corrective Action Strategy of October 14, 1986.

-------
     Recently, however, several Regions have inquires whether the
term "deliberate" meant that the owner/operator had actually
intended to create the release of hazardous wastes or hazardous
constituents.  We wish to clarify that the term "deliberate" in
this context was not meant to require a showing that the owner/
operator knowingly caused a release of hazardous wastes or hazard-
ous constituents.  Rather, the term "deliberate" was included to
indicate the Agency's intention not to exercise its Section 3004(u)
authority to proceed against one-time, accidental spills which
cannot be linked to a discernible solid waste management unit.
An example of this type of release would be antaccidental spill
from a truck at a RCRA facility.  Routine and systematic releases
constitute, in effect, management of wastes; the area at which
this activity has taken place can thus reasonably be considare-
a solid waste management unit.  Therefore, in implement ing correc-
tive action under Section 3004(u), Regions and States should
consider areas which have become contaminated through routine
and systematic releases of hazardous wastes or hazardous constit-
uents to be soli 3 waste management units.  It is not necessary
to establish that such releases were deliberate in nature.

     This concept, and other issues relating to the definition of
solid waste managerent unit, will be addressed in the proposed
ruleirakina being developed for corrective action under Section
3004(u).

     If you have any questions regarding this interpretation of
of solid waste management unit, please contact David Fagan at
FTS 382-4497.

cc:  Regional RCRA Branch Chiefs
     Regional RCRA Permit Section Chiefs
     Gene Lucero
     Bruce Weddle
     Joe Carra
     Mark Greenwood

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                                      OSWER Direccj.vi= ^o.  9502.00-7
            UNITED STATES ENVIRONMENTAL PRO              950200-7
                       WASHINGTON. O.C. 204AO
                            V-'AR   8
                                                            OF
                                                SOLID WASTE 4NO EM6HGENCV
MEMORANDUM
SUBJECT:  Use of $3008(h) Orders or Post-Closure Permits At
         /qlosing J" acidities/'
         i  /      i r /  ( Y     /
         \\ \jts //// -/_A^t*
-------
                               -2-
A.  section 3QQ8(h)
     Section~3008(h) authorizes EPA to issue corrective action
administrative orders and to initiate civil actions for
facilities currently under interim status, facilities that once
had interim status, or facilities that should have had interim
status.  A S3008(h) order may be issued whether the facility is
operating (prior to receiving a permit), is closing,  or is
closed.

     Section 3008(h) orders may address releases or potential
releases to all media.  EPA may use these orders to require
study or cleanup actions where the Agency has made the
determination that there is or has been a release of  hazardous
waste or hazardous constituents into the environment  from a
facility.  (Guidance on the interpretation of §3008(h) is
provided in a December 16, 1985 memorandum from J. Winston
Porter.)

B.  Section 3004(u)

     Section 3004(u) requires every treatment, storage or
disposal facility that is seeking a RCRA permit after November
8, 1984 to undertake corrective action for releases of
hazardous waste or hazardous constituents from solid waste
management units (SWMUs), regardless of when the waste was
placed in the unit involved.  Section 3004(u) allows  the use of
schedules of compliance in the permit to accomplish corrective
action.

C.  Post-Closure Permits

     Post-closure permits are required for any landfill, waste
pile, surface impoundment, or land treatment unit which
received waste after July 26, 1982, or which ceased the receipt
of wastes prior to July 26, 1982 but did not certify closure
until after January 26, 1983.  However, a post-closure permit
is not required if the unit closes by removal under standards
equivalent to §264 standards.*  Post-closure permits are also
not required for treatment and storage units, although under
the new tank regulations  (51 FR 25422), post-closure permits
may be required.  For treatment and storage units, we
"Interim status units that closed by removal after January 26,
1983 under Part 265  standards are subject to post-closure
responsibilities unless such units demonstrate that the
facility meets the closure by removal standards of Part 264.
(See December  1, 1987, 52 FR 45788 amending 40 C.F.R.
§270.l(c)).

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                               -3-

reconunend that a RCRA Facility Assessment (RFA) be completed
and a_S3008fn) order be issued, if necessary, before the
operating permit is denied.

     Under current regulations post-closure permits are
required even where a facility has closed under interim status
and a §3008(h) order has been issued to address corrective
action.   The terms of any §3008(h) order may, of course, be
made part of the post-closure permit, as appropriate.

II.   Considerations in Selecting S3008(h) Orders or
     Post-Closure Permits

     As discussed above, there are situations in which only one
authority is applicable.  For example, for units not subject
to post-closure care (e.g. ,  interim status treatment and
storage facilities or facilities with surface impoundments that
have clean closed according to Part 264 standards), S3008(h)
orders are the appropriate corrective action authority,  in
many cases, however, either authority may be used; e.g.,
interim status land disposal facilities subject to the
post-closure care requirements.

     Since §3008(h) and §3004(u) provide overlapping authority
in terms of the scope and type of cleanup actions which may be
required of interim status facility owner/operators, when a
choice is available we leave the decision to the Regions to
determine whether to use a-3008 (h) order or §3004(u) conditions
in an operating or post-closure permit.  The following
considerations are offered to assist you in deciding, on a
case-by-case basis, how to proceed.

     o  A post-closure permit may be an easier approach than a
§3008(h) order in the case of a willing owner/operator. A
53008(h) order/judicial action may be the preferable first  step
where the owner/operator  is uncooperative, or where  there  is
disagreement with the Agency or uncertainty over the scope  of
activities to be conducted.   (Some regions have found that  the
owner/operator may prefer a post-closure permit instead of  a
S3008(h) order because of the perceived stigma attached to  an
enforcement order.)

     o  In situations which will  require long-term oversight,
it may b« more appropriate to^ determine at the outset  to  use a
post-closure permit  instead o'f  issuing a S3008(h)  order.
Permits are designed to address long-term activities.
Enforcement authorities,  which may  involve judicial  action and
approvals, are  less well-suited for  activities requiring
long-term oversight.   (Of course, as  noted above  the
cooperativeness of  the  owner/operator will influence this
decision).

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                               -4-

     o  A S3008(h) order may be more appropriate where a prompt
action is necessary and where a post-closure permit is not soon
scheduled %p be issued.*  This is because $3008(h) orders allow
more flexibility  in both timing and scope than permits.   For
example, a 53008(h) order could focus only on the specific
cleanup requiring  immediate attention without having to address
post-closure care  or corrective action elsewhere on the
facility.  Conversely, a post-closure permit must address, to
the extent necessary, releases from all SWMUs as well as
post-closure care  activities.

     o  A §3008(h)" order may be more appropriate than a
post-closure permit where there is concern that releases are
coming from sources other than SWMUs.  The language of section
3008(h) refers to  releases from facilities.  This may be
broader language  than that in section 3004(u) which refers to
releases from SWMUs.

     CONCLUSION

        These considerations should be evaluated and weighed in
any decision on which corrective action authority should be
used.  The Agency's objective for closing facilities is to
minimize the post-closure release of hazardous wastes and
hazardous constituents into the environment and to address
corrective action  for existing or potential releases at the
time of closure.   The post-closure permit provides a
coordinated one-step mechanism for addressing corrective action
at the entire facility together with post-closure care for
regulated units.   In the long-run,"therefore, we anticipate
that post-closure  permits should serve as the routine mechanism
for the majority  of corrective actions at closing land disposal
facilties.  Under  current regulations, use of §3008(h) will not
obviate the need  to issue a post-closure permit, unless closure
by removal taJces  place and satisfies Part 264 standards as
required under the new rules promulgated at 52 FR 45788.
Hence, complementary use of both a $3008(h) order and a
post-closure permit (with or without additional $3004(u)
conditions added)  remains an important option.
      *If  an  imminent and substantial  endangerment  to  health  or
the environment  exists,  a §7003  order may be appropriate.

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                                                    9502.1984(01)
December 7, 1984

MEMORANDUM
SUBJECT:  Region VIII Policy
          Oily Wastewater Treatment Ponds

FROM:     John H. Skinner, Director
          Office of Solid Waste (WH-562)

TO:       Robert L. Duprey, Director
          Region 8
          Air and Waste Management Division (8AW-WM)


     We have reviewed the proposed Region VIII position discussed
in your memos dated May 1 and October 12, 1984 that define
permitting coverage of refinery wastewater treatment ponds.  As
your staff may have informed you,  there have been several
meetings between my staff and yours to discuss this problem.  We
have also met with Chevron, Phillips, Tosco and API and,
separately, with Region IX to discuss the issue.  We share your
concern about the threat posed to ground and surface waters by
some of the unlined wastewater ponds that treat or store oily
wastewaters.  However, we believe that the similarity of
downstream unit sludges (in terms of lead and chromium levels) to
those found in the API Separator are not a sufficient basis for
defining the material in the downstream units as API Separator
Sludge.  In fact, the similarity of these sludges was a
significant factor in our decision to move forward on an expanded
listing to regulate these pond sludges.

     Specifically, we are planning in a forthcoming listing to
regulate oil/water/solids separation sludges generated in the
wastewater treatment system prior to biological treatment.  This
listing was originally proposed in November of 1980.  We expect
to issue a notice identifying all of the available data in
support of the listing and to provide some clarifications in
response to previous comments.  Current plans are to promulgate
that listing by late summer.

     While the listing revision should cover most sludges
generated in these ponds, we realize that does not address your
        This has been retyped from the original document.

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                               -2-

short term problem.  We do have some suggestions in this regard.
Section 206 of the Hazardous and Solid Waste Amendments of 1984
provides that persons obtaining RCRA permits must undertake
corrective action for all releases of hazardous constituents from
any solid waste management unit as a condition of obtaining the
RCRA permit.  Thus, if a refinery pond is releasing hazardous
constituents and the refinery seeks a RCRA permit for any unit at
the facility, the refinery would have to undertake corrective
action for the releases from the pond.  (This could be done
either through the permit, or pursuant to an interim status
compliance order.)  This principle applies even if the pond is
not considered to hold a hazardous waste,  since Section 206
applies to releases of hazardous constituents from solid waste
management units.

     A second option for addressing these pond sludges is to
regulate the wastes as hazardous based on their exhibiting one or
more of the characteristics of hazardous waste (see 40 CFR
§261.21-24).  You mentioned this option in your recent letter
with respect to EP Toxicity.  However, your staff seems to have
overlooked corrosivity (high pH has been found in some COD ponds)
and reactivity (§261.23(a)(5)).  It is likely that some refinery
pond sludges will contain excessive levels of reactive sulfides.

     The final option that could be used to deal with downstream
impoundments and basins is applicability of the mixture rule.  It
is imperative, however, that your staff understand the proper
framework for the application of the mixture rule.  To maintain
that a pond is regulated because an API Separator is an
inherently inefficient unit and allows sludge to be carried
through to a pond, is inaccurate.  Likewise, downstream oxidation
ponds are not regulated simply because they sometimes receive
flow that has bypassed the API Separator.   In both cases, the
listed API Separator Sludge has not yet been generated.  Rather,
API Separator Sludge is generated when it is deposited in the
bottom of an API Separator.  The mixture rule is relevant only in
those cases where previously deposited sludge is scoured,
resuspended, and then carried out of the unit with the
wastewater.  If the Region can make a case for scouring from a
separator, the mixture rule is applicable and the wastewater
becomes a hazardous waste until delisted or discharged to a
stream subject to regulation under the Clean Water Act.

     The burden of proof in the demonstration of scouring is upon
the Agency.  Such an argument, although technically complex, can
be made based on well established hydrodynamic principles.
Realizing that there are limited resources and capability for
developing such an argument by the Regions, we have (at the
        This has been retyped from the original document.

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                               -3-

request of your staff)  taken an active role in the development of
guidance for the application of this argument.  Attached to this
memo is a preliminary list of factors that may be required to
establish the occurrence of scouring from a given separator.
These points are being  provided at this time to facilitate the
initiation of information gathering in the more serious cases.

     We have also requested that the Office of Waste Programs
Enforcement (OWPE)  develop more thorough guidance.  That effort
is being conducted by their contractor (Metcalf & Eddy).   We
anticipate that your staff will be contacted by them in the near
future.  The contractor should be able to provide some direct
assistance to your staff in some specific cases, thereby serving
the dual purpose of training and resolution of specific factors
of concern.  Mike Barclay (FTS:  475-8727) of OWPE is the
Headquarters lead on that project and should be contacted for any
further information.  Ben Smith of my staff (FTS:  475-8551) is
our technical expert in this matter and the lead on our study of
petroleum refineries and their wastes.  Do not hesitate to
contact him if additional questions arise pertaining to this or
other matters.

cc:  RA's Region I-X
     Mike Barclay (OWPE)
     Steve Siverman (OGC)
     Susan Manganello (ORC, Region VIII)

Attachment
        This has been retyped from the original document.

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Factors To Be Evaluated In Dnt«rwining The'potential for

               Separator SlurtQ* Scouring        .  ;'•' '••&~'-;.::~£


 Sludge Accumulation Practices - Continuous  sludge removal^-l
 from tho separator rules out the occurrence of  scouring.   '"
 At the other end of the spectrum are  facilities that  allow-1
 sludge to accumulate to considerable depth.   Accumulation  '
 to a depth greater than 50>% of the  flow  depth makes scouring
 probable.  Intermediate ranges of accumulation  will prob-  .*
 ably depend more heavily on other factors.         .••;• v '•..-i;

 Plow variability - Unless overloaded, units with-maximum-f.-'
• to-minimum, flow ratios at tho separator effluent of  less  ^
 than 2 and Inlet flow ratios of less  than 4 are probably  -*\
 not experiencing'much rosuspension  of sludge.  .   .       <
•r     ."'.'*                             —          '
 Poor Separator Design or Operation  -  Factors contributing  '-
 to scour conditions includei  excessive, inlet  or outlet  /_;
 zone turbulence; nominal horizontal velocities  greater ••'•:?•
'than 30 feet per minute; nominal overflow rates (flow/   "'.
 surface area) greater.than 10,000 gallons per day/square V~
 foot of basin; basins less than 30  feet  in  length; opera-
 tion under pressure (e.g., with a backwater at  the inlat
 of a separator with a-frozen surface), settling zone   -
 turbulence (sometimes seen as bubbling with solids
 entralnment) . ^.:"?v-\" • ^.""*u -"*/'"-*-*.^"^"i*js~  ;     > .. .

 Separator Effluent Characteristics  -. Excessive  weir  loadlngi
 (e.g., operation with a-suppressed  weir, flow depth  greater
 than a foot) facilitate carryover of  resuspended particles.'
 visible, large (diameter greater than 1/4 inch) sludge -.-  .'.
 particles in the separator effluent are  strong evidence  .'<
 of scouring associated with microbial degradation of  ^i .'*%
 depos 1 ted jtludge."^:•/«.;"'••', •• V •;: "* '" Jr'*?'.';:'&'•'*•• ••'":?:••:,• '•  ' • •"V :'•'• ."•?'-

 Sludge Characteristics - Particle  sixe'distribution as \\.->
 measured by wot sieve and  hydrometer analyses is necessary
 information to define scour conditions.  -The presence of -x.'
 coke fines in the wastewater Influent is also  important .-.:
 because that size of particle  «.lmm) is non-cohesive '.'_'•;•"•
 and highly susceptible  to  rosuspension^      ;.      :,

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                                                            9502.1985(01)
           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                       WASHINGTON, O.C. 20460
                           F£B  6 :.:3i

                                              SOLiO WASTE AND EMERGENCY RESPONSE


MEMORANDUM


SUBJECT:  RCRA Reauthorization Statutory Interpretation 13:
          Immediate Implementation of New Corrective Action
          Requirements
           ,X  f!i! '••*<<.
FROM:     Jack' W./McGraw
          Acting Assistant Administrator

TO:       Addressees


BACKGROUND

     One of the most important early-enactment provisions of  the
RCRA reauthorization is the new authority for corrective action
for continuing releases [Section 3004(u)l. As you know, this  pro-
vision is applicable to all permits issued after November 8,  1984.
This memorandum provides preliminary guidance on the new information
to be submitted with Part B applications to satisfy the new require-
ments.  The guidance applies to those facilities whose Part B
applications have been requested, and for which final determinations
were not made prior to November 8, 1984.

     The new continuing release provision in effect requires  that
each facility seeking a RCRA permit must  (a) identify all solid
waste management units at the facility;  (b) identify releases
of hazardous wastes or constituents that  have occurred from those
units; and  (c) perform corrective action  for those releases.  Vir-
tually all  regulated facilities will be  affected by this provision,
since it applies to inactive and closed  units at such facilities,
as well as  to the operating units subject to permitting.

     Much of the implementation of the continuing release provision
is subject  to  interpretations which have  not yet been made  by the
Agency.  An effort  is currently underway  to clarify the full  impact
of this provision on the RCRA permit program.

     Policy guidance on implementation of the new S3004(u)  authority,
including the  requirement for financial  assurance for  corrective
action,  is  expected to be issued  in draft within a month.   Separate
guidance is being developed on how to determine whether or  not  a
facility has a  release that may pose a threat to human health and  the
environment.   Additional guidance on the technical aspects  of
different types  of  corrective action programs, and on  the use of
interim  status  corrective action  orders,  will also  be  issued.

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ACTION

     Several actions can be taken to implement this new cor-
rective action requirement prior to issuance of the above mentioned
guidance packages.   Specifically, we recommend that a notice  be
sent to each facility whose Part B has been requested and for
which a final determination was not made prior to November 8,  1984.
This notice should provide a general explanation of the new cor-
rective action provision, and the fact that additional information
must be submitted to satisfy the new requirement.  In general,
EPA will need to obtain the following information in order to
determine whether a facility is in compliance with section 3004(u):

     (a) Identification of each unit at the facility that might
         fall within the definition of solid waste management unit,
         that has not already been described in the Part B appli-
         cation.  Although no final decision has yet been made on
         the definition, a solid waste management unit may include
         any landfill, surface  impoundment, waste pile, land treatment
         unit, injection well,  incinerator, tank (including waste-
         water treatment units, elementary neutralization units,
         and tanks used in reuse/recovery operations), container
         storage area, transfer station, or waste recycling oper-
         ation at the facility.  The applicant should also under-
         stand that EPA views the "facility" as not limited to the
         area where wastes are  managed, hut includes the entire
         contiguous property under the control of the owner or
         operator.  For each unit, the following information should
         be supplied:

              - Type of unit
              - Location of each unit at the  facility on a
                topographic map
              - General dimensions
              - Whether the unit is currently  operating, and if
                not, when  the unit closed or ceased operating
              - Description of  the wastes  that were placed  in
                the unit  (where available)

      (b) All  information  available  to the  owner/operator on
         whether or not  releases have occurred from any  of the
         solid waste management units  (including the  hazardous
         waste units) at  the  facility.   Releases to ground water,
         as well as to  other  media  (e.g.,  soils, surface water,
         air) should  be described.  Such information  would
         include available ground  or  surface  water monitoring
         data,  results  of  soil  sampling,  spill reports,  inspection
         records, etc.

     We  recommend that  in most  cases,  applicants who have  already
submitted  their Part  B  application  should  be  given no more  than
30-45  days  in which  to  submit this  information.
                                -2-

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     It should be understood that there is currently no provision
in 40 CFR Part 270 which requires submission of  the above  infor-
mation in Part 'B applications.   In a sense, therefore,  submittal of
the information by permit applicants is "voluntary."  However,
section 3005(c) of the Act provides that permits can be issued
to facilities only upon a determination that the facility  is in
compliance with the requirements of Section 3004 of the Act.
Therefore, failure to submit information to demonstrate a  facility's
compliance with the $3004(u) requirement would be grounds  for denial
of the permit.

     The above information, when submitted by the permit applicants,
will allow the permit writer to make an assessment as to which
facilities are likely to require corrective action programs, and
how permitting and enforcement  priorities might  subsequently be
realigned.

      Some States may have existing regulatory requirements analogous
to the new RCRA continuing release provision.  Such States may
already have gathered substantial information on solid waste man-
agement units and releases at their facilities.   In preparing the
notices to be sent to permit applicants, Regional Offices  should
coordinate with their States to avoid requesting such information
that has already been collected by a State agency.

     Some facilities may contain only units with a relatively
low likelihood of having caused a release  (e.g., indoor container
storage areas, above-ground tanks, etc.).  In such cases,  the
Region/State may consider going forward with issuing the permit,
providing that:

     - The owner/operator has indicated that there is no
       information indicating a release from any of the units;
       and

     - An assessment of the facility, based on a site in-
       spection and other available information, confirms that
       a release that poses a threat to human health and the
       environment is unlikely to have occurred.

     For many facilities, the absence of a release will not be
so easily established.  Further, some facilities will already have
determined that such a release(s) has occurred.   For these  facil-
ities further information will have to be  developed to  identify
and/or characterize releases.  As noted earlier, guidance on these
issues will be forthcoming.

     Any questions or comments on procedural aspects of imple-
menting this corrective action authority should  be directed to
Dave Fagan (382-4497).  For information on the guidance packages
being developed, please contact Art Day  (382-4658), or  George
Dixon (382-4494).
                              -3-

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Addressees:

Regional Administrators,  Regions I-X
Regional Waste Management Division Directors, Regions I-X
Hazardous Waste Branch Chiefs, Regions I-X
Regional Counsels, Regions I-X
State Hazardous Waste Program Directors
Assistant Administrator for Enforcement and Compliance Monitoring
Associate General Counsel for Solid Waste and Emergency Response
OSWER Office Directors
                               -4-

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                                                    9502.1985(02)
June 17, 1985


Regulation of Wood Treatment Plant Drip Areas as Solid Waste
Management Units

John Skinner, Director
Office of Solid Waste

James C. Scarbrough, Chief
Residuals Management Branch, Region IV


     In your April 23, 1985, memo, you asked whether the ground
areas at a wood treatment plant that receive drippage from the
treated wood are solid waste management units and,  therefore,
subject to the continuing release provisions of HSWA.  We agree
with you that these areas are solid waste management units,
subject to the continuing release and interim status corrective
action order requirements of the 1984 RCRA amendments.

     As we understand the process, when the pressure treated wood
is removed from the treating cylinder, excess preservative is
forced out of the wood by the internal pressure still remaining
in the wood.  This is commonly referred to as kick-back drippage.
The length of time over which drippage occurs varies from about
four to twenty-four hours, depending on the type of wood treated,
the series of pressure or vacuum treating cycles employed, and
the preservative solutions used.  Often, a final vacuum is drawn
on the preserved wood which then delays the onset of this
drippage by an hour or so after it is taken out of the pressure
treating cylinder.

     Although some of these residuals have been found to contain
significant concentrations of carcinogenic substances (such as
chrysene and benzo(a)pyrene), they are not currently classified
as hazardous wastes under RCRA, either as discarded commercial
chemical products under Section 261.33 or otherwise as listed or
characteristic wastes.  The Agency is now obtaining data to
determine whether these residuals should be listed along with
other wastes from the wood preserving industry.

     These residuals, however, are definitely solid wastes.
Therefore, any specific ground area that routinely receives this
        This has been retyped from the original document.

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                               -2-

kick-back drippage would be considered a "solid waste management
unit" since it is a discrete area of the facility where wastes
have been or are deliberately, routinely, and systematically
placed or allowed to leak onto the land.  The unit is thus
subject to the corrective action requirements of 3004(u),
providing that the facility is seeking a RCRA permit.

     If the facility has interim status but is not seeking a
permit, enforcement authorities under Section 3008(h) and others
can be used to require necessary corrective measures.

     I trust that this response is helpful to you in preparing
your case in the compliance order proceeding regarding a wood
treater's Part B permit application.
        This has been retyped from the original document.

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                                                    9502.1985(02)
                                                       Attachment
June 14, 1985
MEMORANDUM

SUBJECT:  Regulatory status of wood preservative "Kickback"
          emissions

FROM:     John H. Skinner, Ph.D.
          Director
          Office of Solid Waste  (WH 565)

TO:       Elizabeth Maxwell
          Assistant Regional Counsel
          Region V


     In a March 29, 1985 memo, you requested clarification of the
regulatory status of the ground area around tracks or other areas
outside of the immediate treating cylinder area where drippage
collects from newly treated wood.I/   This area  (referred to as
the "kick-back drippage area") is a solid waste management unit,
subject to the corrective action requirements of the 1984 RCRA
amendments.

     As we understand the process, when the pressure treated wood
charge is removed from the treating cylinder, excess preservative
is forced out of the wood by the internal pressure still
remaining in the wood.  This is commonly referred to as kick-back
drippage.  Typically, a charge of newly treated wood is allowed
to rest in a specific area while still loaded on the railroad
platform car for some time during this pressure equalization
process.  In some cases, this drippage may be partially collected
in troughs or sumps beneath the tracks.  The length of time over
which drippage occurs varies from about four to twenty-four
hours, depending on the type of wood treated, the series of
pressure or vacuum treating cycles employed, and the preservative
!/   While the Agency  has  determined  the  status  of this area, we
     are currently evaluating other parts of wood preserving plants
     to determine if these  areas also should be classified as land-
     based units.
        This has been retyped from the original document.

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                               -2-

solutions used.  Often,  a final vacuum is drawn on the preserved
wood which then delays the onset of this drippage by an hour or
so after it is taken out of the pressure treating cylinder.

     At Southern Wood Piedmont's Waverly, Ohio facility, some of
this residual is collected in troughs beside the railroad track
and periodically dredged out manually.  Substantial amounts,
however, also drip onto the ground.  The facility has supplied
analytical data demonstrating significant concentrations of
carcinogenic substances in these deposits (e.g..  chrysene at 2500
ppm and benzo(a)pyrene at 730 ppm).

     Although these residuals are not currently classified as
hazardous wastes under RCRA, either as discarded commercial
chemical products under Section 261.33 or otherwise as listed or
characteristic wastes, the Agency is now obtaining data to
determine whether these residuals should be listed along with
other wastes from the wood preserving industry.

     These residuals, however, are solid wastes.   The specific
ground area which routinely receives this kick-back drippage
would be considered a "solid waste management unit," since it is
a discrete area of the facility where wastes have been or are
deliberately, routinely, and systematically placed or are allowed
to leak onto the land.  The unit is thus subject to the
corrective action requirements of 3004(u), providing that the
facility is seeking a RCRA permit.  If the facility has interim
status but is not seeking a permit, enforcement authorities under
Section 3008(h) and others can be used to require necessary
corrective resources.
cc:  Regional Administrators
     Regional Branch Chiefs
        This has been retyped from the original document.

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                                                                           9502.1985(04)
                  RCRA/SUPERFUND HOTLINE MONTHLY SUMMARY

                                      JUNE 85
Corrective Action

1. A treatment facility is applying for a Resource Conservation and Rtcovery tct
   (BOA)  S3003 operating permit.  This facility currently nonages ecrap neta!
   destined for reclamation.  On January 4, 1985, (SO FK 614), the Agency o*clar«
   that ocnp Mtal, **o racyclad, is a Subtitla C wa«t«.  Concurrently, tha
   Agency anncunaed that it would not tvgulate acrap  Metal deetimd for racycling
   at this tioa.  BecauM this facility is aaeking a  S3005 oparating permit,
   tha facility mmt addrea* ralaasas of hasaroous wast* or constituents from
   any solid wart* naaaganent unit pursuant to $3004(u) (correctiv* action).
   Must this facility addraas tha unregulated scrap aetal aanagement area coo-
   oaming palissaa?
            theuph acrap svtal destined for recycling  is not regulated, it is
           idscwd  a solid vasts*  Thus, a release of a hazardous waste or constituent
       at the '•crap a»tal Management area (solid waste nanagecent unit) tust be
               I-pursuant to fWM(u) of KXK.

                  Cave ragan  (202) 382-4497

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                                                               9502.1985(05)
                   RCRA/SUPERFUND HOTLINE  MONTHLY SUMMARY

                                      AUGUST  85
Corrective Action for Cor.tir.uing Release* (S3004(-j))

2.  Ar or.tr/operacor of a treaener.t, storage or disposal facility (TSOF)  is preparing
    a IOA Part  B application.  TJ» facility design includes sumps holding *«st*v*ter.
    The *«ste**ter is considered a listed hazardous vast* because it contains spent
    chlorinated  solvents listed ir. $261.31 and the mixture rule of 5261. 3(a) (2)( iv)
    applies.   fcbstewater is held in the suap for les» than 90 days.  Is the owner/
    operator  required to address these suzps in the Part B application?

      Assuming the sumps are made of non-earthen material and have sufficient
      structural integrity, they would be regulated as earJcs (see Regulation
      Interpretative Letter tllO regarding tanks versus surface impoundments
      and 5264.191).  Section 262.34 states that hazardous «aste may De stored
      L-. unks or containers for 90 days or less without a RCBA permit provided
      conpliance with $262.34 (a)  through (c).  On this basis alone,  the sjrtps
      need not be addressed in the Part B application ($264. Kg) (3) ard
     However, the Hazardous and Solid Vfeste Amendments of 1984 (HSWA)  recuir* that
     ir.forracion be submitted regarding solid waste ma.nagomer.t units,  including  sumps,
     for  HCRA permits issued after Novonoer 8,  1984.   the new corrective  action
     provisions for continuing releases ($3004(u)  of the Solid tteste Disposal Act,  as
     amended) requires identification of all solid *«ste management units at  the

      facility and  releases of hazardous Bastes and hazardous constituents fron these urio.
      Qaidance on  -".e  S3004(u) corrective action provision is found in 3OA Reauthorizatiori
      Statutory  I.-.terpreUtlon 13  (RSI »3) dated February 5, 1985, and the July 15,  1985,
      codification  rule  (50 PR 28711).  HCRA pecnits issuexl after Hovenfcer 8,  1984,  must
      contain coi^liance  schedule* for corrective action and assurances of financial respon-
      sibility for  collating such corrective action per $264.101 (50 FR 28711).

      Source:    :*ve  Pagan   (202) 382-4497

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w
             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY        95°2. 19851 06)
                         WASHINGTON. O.C. 20460
                             OCT 2 9 .335
                                                         OFFICE OF
                                                 SOLID WASTE AND EMERGENCY RESPONSE
  MEMORANDUM
  SUBJECT:  Application of HSWA  Sections  to  DOE's Oak Ridge Facility
  FROM:     Marcia Williams
            Director
            Office of Solid Waste

  TO:       James H. Scarbrough
            Chief, Residuals Management  Branch
            Waste Management Division, Region IV


       Your July 25, 1985, letter  asked  several questions
  regarding the applicability of HSWA  requirements to the DOE Y-12
  facility at Oak Ridge.  The first provision you asked about is
  §3004(u), which is invoked only  when a facility is seeking a
  RCRA permit.  HWDMS indicates that the Y-12 facility is seeking
  a permit, which triggers the corrective action authority to
  address releases from solid waste management units (SWMUs).
  However, Oak Ridge is a Federal  facility.  The applicability of
  §3004(u) has been called into question for Federal facilities,
  and EPA is involved in on-going  negotiations with other Federal
  agencies on this issue.  Specifically/  the final codification
  rule states that:

        The extent to which the above  interpretation
        applies to Federal facilities  raises legal and
        policy issues that the agency  has not yet
        resolved....Permit applications  for Federal
        facilities will continue to be processed,
        but recognizing that final Federal facility
        permit* may not be issued  where  these unresolved
        issues exist, EPA will make its  best efforts
        to r««olvst these issues in the next 60 days.
        50 FAR**. 28712 (July 15, 1965).
       If th*-flBcility is seeking  a  RCRA permit  and  it has no SWMUs
  or if it has SWMUs that it agrees  to address,  the  permitting
  process can move forward and corrective action pursuant to
  §3004(u) can progress accordingly.   However, if  the facility is
  not willing to address SWMUs,  the  permitting process for this
  facility becomes more complex.   For further information on
  §3004(u), pleas* contact Dave  Fagan of the Permits Branch at
  FTS 382-4751.

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rely on the NPDES program to address releases, otherwise within
the scope of §3004(u), that are addressed by that program.
See 50 Fed. Reg. 28714 (July 15, 1985).  In keeping with that
policy it may become necessary to distinguish between releases
which occurred prior to the issuance of a NPDES permit and any
subsequent releases.  As a practical matter this may be diffi-
cult if not impossible to do; therefore, EPA policy is that
where such a distinction cannot be made and the existence of a
prepermitted release is clear, the entire contaminated area is
subject to clean up.

     Please feel free to contact Chaz Miller, our Federal
Facilities Coordinator, at FTS 382-2210 if you have any further
questions on these issues; we are developing the policies for
these new statutory authorities as quickly as possible.

cc:  Thomas W. Devine, Director, Waste Management Division,
      Region IV
     RCRA Branch Chiefs, Regions I-X
     State Programs Branch, OSW
     Permits Branch, OSW

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      J.UMTED STATES ENVIRONMENTAL PROTECTION AGENCY
      f                 WASHINGTON. 0 C. 20460
P I C IOQC           9502.1985(09)
                          DEC' I 6 1985
 MEMORANDUM

 SUBJECT:   Interpretation  of  Section  3O08(h)  of  the  Solid
           waste,Disposal  Act
FROM:      J.^Vinston Sorter,  Assistant  Administrator
           Office  of Solid  Wte  and.  Emergency Response
                          re,  Assistant Adrainis-trator
          Office  of  Enforcement  and  Compliance  Monitoring

TO:       Regional Administrators
          Regional Counsels
          Regional Waste Management  Division  Directors
          Director,  National  Enforcement  Investigation Center

     As  part of our  effort to support case development activities
undertaken  by United States Environmental Protection Agency
oersonnel,  we are transmitting to you guidance  on  the use of
Section  3008(h),  one of the corrective action authorities added
to the Solid Waste Disposal Act  by the Hazardous and* Solid waste
Amendments  of 1984.  As you are  aware, Section  3008(h) allows the
Agency to take enforcement action to require  corrective action or
any other response necessary  to  protect human health or the
environment when  a release is identified at an  interim status
hazardous waste treatment, storage or disposal  facility.  Because
the authority is  broad, both  with respect to  the kinds of environ-
mental problems that can be addressed and the actions that the
Agency .may  compel, we have produced  the attached document to
provide  initial guidance on the  interpretation  of  the terms of
the provision and to describe administrative  requirements.  The
document will be  revised as case law and Agency policy developi
In addition, the Office of Solid Waste and Emergency Response
intends  to  develop technical  guidance on various types of response
measures and the  circumstances in which they  might be appropriate.

     In  view of the  need to issue RCRA permits  and to ensure that
the substantial number of interim status  facilities expected to
cease operation in the near future are closed in an environmental
sound manner, we  encourage you to use the interim  status correct!'
action authority  as  appropriate  to supplement the  closure and
permitting processes.  Questions or  conaents  on this document or
the use  of  Section 3008(h) authority in general can be addressed
Gene A. Lucero, Director of the  Office of Waste Programs Enforcem*
{FTS 382-4814, WH-527) or Fred Stiehl, Associate Enforcement
Counsel  for Waste (F^S 382-3050, LE-134S).

Attachment

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             RCRA SECTION 3008(h)



TOE INTERIM STATUS'CORRECTIVE ACTION AUTHORITY



              DECEMBER 16, 1985

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 I.  INTRODUCTION

      The Hazardous and Solid Waste Amendments of 1984 have substantially

 expanded the scope of the RCRA hazardous waste management program.   Che  of

 the most significant provisions is the interim status corrective action

 authority/ which allows EPA to take "enforcement action to "compel response

 measures when the Agency determines that there is or has been a release  of

 hazardous waste at a RCRA interim status facility.   Prior to the 1984

 Amendments, EPA could require remedial action at interim status facilities

 by,  inter alia, (1)  using RCRA $7003  or CERCLA 5106 authorities if an immnent

 and  substantial endangennent may have been presented,  or (2) when significant
        \
 ground-water contamination was detected,  calling in Part B of  the RCRA permit

 application and requiring corrective  action as a condition of  the permit.  The

 Anendments  added Section 3008(h)  to deal  directly with environmental problems

 by requiring clean-up at facilities that  have operated or are  operating subject:

 to RCRA interim status requirements.

     The purpose of this document  is  to provide  preliminary guidelines on the

 scope of Section 3008 (h) and  to summarize appropriate procedures.  The document

will be revised as case  law and Agency policy develop.  Other relevant RCRA

guidances that may be consulted include:

     • Final Revised Guidance on the Use and Issuance of Administrative Orders
       under Section 7003 of RCRA, Office of Enforcement and Compliance Monitoring
       and Off ice of Solid Waste and Emergency Response - September,  1984.
                                                                 *
     0 Issuance of Mrainistrative Orders under Section 3013 of RCRA,  Office  of
       Enforcement and Compliance Monitoring and Office of Solid Waste and
       Emergency Response - September, 1984.

     0 Draft Guidance on Corrective Action for Continuing Releases, Office
       of Solid Waste and Emergency Response - February, 1985.

     0 Final RCRA Ground-Water Monitoring Compliance Order Guidance,  Office
       of Solid Waste and Emergency Response - August, 1985.

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                                      -2-


      0 Draft RCRA Ground-Water Monitoring Technical Enforcement Guidance
        Document, Office of Solid Waste and Emergency Response - August,. 1985.

      -e Draft RCRA Preliminary Assessment/Site Investigation Guidance,.  Office
        of Solid Waste and Emergency Response - August, 1985.


 II.  DELEGATIONS OF AUTHORITY

      On April 16, 1985, the Administrator signed delegations enabling the Regional

 Administrators, the Assistant Administrator for Solid Waste and Emergency Response

 and the Assistant Administrator for Enforcement and Compliance Monitoring to

 exercise Section 3008(h)  authority.  There,are three new delegations, 8-31, 3^

 and 33.   The first enables the Regional Administrator or the Assistant Administrator

 for Solid Waste and Bnergency Response  to determine that there is  or has been a

 release of  hazardous waste at or from a RCRA interim status, facility. The second
                                                           '                   '
 and third delegate the authority to issue orders and sign consent  agreements.

 The authority to refer civil judicial actions is found in Delegation 8-10.

     Because Section 3008(h)  is quite broad,  both with respect to  the types of

 environmental problems that may be  addressed  and'the actions that  EPA may  compel,

 delegation of Section 3008(h)  authority is subject  to limitations.   To issue an

 administrative order or sign  a consent  agreement, the Regions must obtain  advance

 concurrence  from the Director, .Office of Waste Programs Enforcement,  Office of

Solid Waste  and Emergency Response  and must notify  the Associate Enforcement

 Counsel for  Waste, Office of  Enforcement and  Compliance Monitoring,   until the

Agency cs a  whole gains experience  in using the  new authority/  this  requirement

 is necessary to ensure that sound precedent is established and national program

priorities are  addressed.  The Office of Waste Programs Enforcement  intends to

waive advance concurrence, however, for those Regions  that demonstrate sufficient

experience in using Section 3008(h) as  indicated by the number and quality of

 53008(h)  orders submitted for review  in the next six months.  Civil  judicial

 actions will be handled in accordance with  existing procedures  for referrals.

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                                        -3-
      To expedite S3008(h) actions,  the Regions should establish procedures for

 drafting and reviewing orders and referrals and clearly delineate the" roles

 and-responsibilities of Regional RCRA enforcement and program, personnel (including:

. OZRCLA personnel as necessary) and  the Office of Regional Counsel in those

 processes,.  Draft orders should be  sent to the Chief, Compliance and Implementation

 Branch, RCRA Enforcement Division,  Office of Waste Programs Enforcement.

      Headquarters is committed to conducting timely review of S3008(h)  orders.
                                               •5
To avoid the delays associated with discussion and review of rough drafts,  we

ask that orders be in "near final"  form when they are submitted.   Generally,
   •
the orders will be examined to determine whether (1)  the elements of proof  are

adequately defined and documented,  (2)  the response to be compelled is  practicable

and environmentally sound,  and (3) the action supports national RCRA program opals.
Written cements or concurrence will be provided to the Regions within  ten wor

days of receipt.


III.  SCOEE OF SECTION 3008(h)

Section 3008(h)  provides:

     •  (1)  Whenever on the basis of any. information the Administrator
            determines that there is or has been a  release of hazardous
            waste into the environment from a facility  authorized to
            operate under Section 3005(e)  of this subtitle, the Administrator
            may  issue an order requiring corrective action or such other
            response measure as he deems necessary  to protect human health
            or the environment, or the Administrator may coiroence a civil
            action in the United States district court  in the district in
            which the facility is located for appropriate relief, including
            a. temporary or permanent injunction.

        (2)  Any  order issued under this subsection  may  include a suspension
            or revocation of authorization to operate under Section 3005(e)
            of this subtitle, shall state with reasonable specificity the
            nature of the required corrective action or  other response
            measure, and shall  specify a time for compliance.  If any-  •
            person named in an  order fails to comply with the order, the
            Administrator may assess, and such a person -shall be liable to
            the  united States for, a civil penalty  in an amount not to exceed
            $25,000 for each day of noncompliance with  the order."
king

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      To exercise the interim status corrective action authority, the Agency
 must first have information that there is or has been a release of hazardous
 waste "to the environment at or from an interim status facility.  Sacond, the
 corrective action or other response measure, in the judgment of the Agency.,
 must be necessary to protect human health or the environtent.   Key terms are
 discussed below in greater detail.

 •Whenever on the basis of any information the Administrator determines ..."
      The opening clause  of Section 3008 (h) authorizes the Agency to make the
                                                   o
 determination that there is or has been a release of hazardous  waste  into the
 environment  on the basis of 'any information*.   Appropriate information can be
   *
 obtained frcra a variety  of sources, including data from laboratory  analyses of
 soil, air, surface water or ground water samples,  observations  recorded during,
 inspections,  photographs,  and facts obtained from facility  records.
     The reference to a determination by the Administrator  should be considered
 in the context of  the term 'any information'.  To  satisfy any requirement
 imposed by the statute, an order should contain  a  specific  determination.  A
civil referral should also be based on  a written determination  that there is
or has been a release.

 " ...that there is or has been  a release...into the environment..."
     The trigger for issuing  $3008(h) orders and initiating civil referrals
 is the existence of information  that there  is or has been a release, which  is
a lower threshold  than the showing of 'substantial hazard' under PCRA Section
3013 or  ' imminent  and substantial endangerment1  under RCRA Section 7003 or  CEROA
Section 106.  While the statute does not  define  the terra  'release1, the Agency
believes that, given the broad remedial purpose  of Section 3008(h), the term
                                w
should encompass at least as much as the  definition of release under CERCLA.
See 42 U.S.C. $9601(22).  Therefore  a release is any spilling, leaking, pumping,

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                                      -5-

 pouring/ emitting, emptying, discharging, injecting, escaping, leaching/ dumping
 or .disposing into the environment.  The exemptions described in the CEROA definition
 are considered inapplicable or inappropriate for RCRA purposes, however,  and  are not
 included in .the RCRA definition.
      The term 'environment1 is also broad.  The legislative history for
 Section 3008 (h), which discusses use of the authority to respond to releases
 to various environmental media, makes it clear that Section 3008(h)  is  not
 limited to a particular medium.  H.  Rep. No. 1133, 98th Gong., 2d Sess. 111-112
                                                       a
 (1984). The Agency will use Section 3008(h) to address releases to surface
 waters, groundwater, land surface or subsurface strata and air.
      It is not necessary to have actual sampling data to show a release.  An
 inspector may find other evidence that a release has occurred, such  as a broken.
 dike  at a surface impoundment.   Less obvious indications of release might alsoj
                                      . .'      •                 '                i
 be adequate  to make the determination.   For example,  the Agency could have
 sufficient  information  on the contents of a land disposal unit,  the design and
operating characteristics of the unit,  and the  hydrogeology of the area in
which the unit is located to conclude that there has  been a release to groundwater.
      In addition  to on-site information gathering undertaken specifically to
support a S3008(h)  action,  other sources  that may provide  information on
rele£ses include:
       • Inspection Reports.
       • RCRA  Part A and Part B permit applications.
       • Responses to RCRA 53007  information requests.
       • Information obtained through RCRA $3013 orders.
       • Notifications required by CERCLA 5103.
       • Information-gathering activities  conducted under CERCLA $104..  .
       • Informants' tips or citizens' conplaints corroborated by supporting
         information.

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                                      -6-
      A determination that there is or has been a release does not require that
 specific amounts of hazardous waste or hazardous constituents be found in
 the environment.  Quantities or concentrations of hazardous wastes or hazardous
 constituents should be considered when ordering interim or complete corrective
 actions, however, because response actions compelled by the Agency must be
 necessary to protect human health or the environment.

 "...of hazardous waste..."
   •   In contrast to many Subtitle C provisions,  the language of Section 3008(h)
 refers to "hazardous waste"  rather than "hazardous waste identified or listed
 under Subtitle .C".   The. Agency believes that the omission of a reference to
wastes listed or identified  at 40  CFR Part 261 was deliberate,  and  Congress
did not intend to limit Section 3008(h)  only.to  materials meeting the  regulatory
definition of hazardous waste.  The Conference Report specifically endorses the
use of corrective action orders to respond to releases of hazardous  constituents.
H. Rep. No. 1133, 98th  Cong.,  2d Sess.  Ill (1984).  The  legislative  history also
indicates that the  new  authority should be at least as broad as  the  corrective
action authority in .the federal RCRA permit program.  Id.  at 111-112.  Those
regulations address both hazardous waste and  hazardous constituents.  Moreover,
Section 3004(u),  the  'Continuing Releases'  provision  requiring clean-up of
releases from any solid waste management unit  at a  treatment, storage or
                                                               ^
disposal facility seeking a RCRA permit, applies to releases of hazardous
constituents  as well as releases of  listed and characteristic wastes.  H. Rep.
No. 198, 98th Cong., 1st Sess. 60  (1983).  Therefore, Section 3008(h) nay also
be used to compel response measures  for  releases of hazardous constituents
from hazardous or solid waste.v

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      "Hazardous constituents" are the substances listed in Appendix VIII to
 40 CFR Part 261.  H. Rep. No. 198, 98th Cong., 1st Sess. 60-61 (1983).
 According to the legislative history for Section 3004(u), which is read in  con-
 junction with"Section 3008th), the term also includes^Appendix VIII hazardous
 constituents released fron solid waste and hazardous constituents that  are  reaction
 by-products.  S. Rep. No. 284,/98th Oong., 1st Sess. 32 (1983).  It should  be
 noted that the legislative history for the new underground storage tank previsions
 states that Section 3008 is not applicable to underground storage tanks regulated
 under Subtitle I.   Such releases may be addressed by Section 7002 and.Section
 7003 authorities,  however.  H. Rep.  No. 1133, 98th Oong., 2d Sess. 127  (1984).
 Section  3008(h)  remains applicable to releases from underground tanks containing
 hazardous or solid waste subject to Subtitle C provisions.

 "...fron a facility...*
     For interim status corrective action purposes,  EPA intends to employ the
 definition of 'facility'  adopted by  the Agency in the corrective  action
 program  for releases from permitted  facilities.   The preamble to  the permitting
 requirements for land disposal facilities indicates  that the terra 'facility1
 refers to ..."the  broadest extent of EPA's  area jurisdiction under Section
 3004 of RCRA...[meaning]  the entire  site that is  under  the control  of "the
owner or  operator  engaged in tm^^y*"* waste management.* 47 FR 32288-89
 (July 26,  1982).   See also the Final Codification Rule.   50  FR 28712 (July 15,
 1985).  Therefore,  the  definition of facility encompasses all contiguous property
under the  owner or operator's  control.
     The  permit program,  as amended  by Section 3004(u),  requires  corrective action
for releases of hazardous waste  and  hazardous constituents from solid waste
                                  w
management units at  a facility.   EPA interprets  'solid waste management unit1

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                                      -3-
 to include any disoernable unit used for waste management.  See 50 FR 28712

 (July 15, 1985).  Since the legislative history describes the interim status

 corrective action authority as a "supplement" to permitting authority and

 indicates that the interim status authority should be"at least as broad as'

 the permit authority, Section 3008(h) clearly authorizes EPA to require corrective

 action for any release of hazardous waste from disoernable waste management

 units.  The Agency's authority to use Section 3008(h)  to address releases from

 solid waste management units as well as hazardous waste management units is

 discussed in the Final Codification Rule.  50 FR 28716 (July 15, 1985).

   -   The language of Section 3008(h), however, suggests that Congress did not

 intend to limit EPA's authority to releases from discernable units.   Unlike

 Section 3004(u),  Section  3008(h)  broadly authorizes corrective action for

 any release from a "facility".   It does not require the Agency to find that

 a  release originated in a discernable waste management "unit".

      The legislative history supports this  interpretation.   Prior to  enactment

 of Section 3008(h),  the RCRA regulations required corrective action for  releases

 to groundwater  from permitted  'regulated units'  (surface ijipoundments, waste

 piles,  landfills  and land treatment areas that received Subtitle C hazardous

waste after a specified date).  40 CFR 264.100 and 40 CFR 264.90.  Congress

criticized this approach  as  too slew and too limited, however, and created

 the interim status corrective action authority to  "deal  directly with an

ongoing  environmental problem at  interim status facilities."  H. Rep. No. 1133,

98th  Cong., 2d  Sess.  110-112  (1984).  Moreover,  Congress clearly did  not intend

the authority to  be  limited  to  the scope of  the existing permit program.  For

 instance,  the legislative history  lists  several  examples of  releases outside
                                v .                      •             - •
 the regulatory  program  for which a $3008(h)  action is appropriate, including

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 releases from waste management units not required to undertake corrective
 action or otherwise exempt from RCRA regulations and releases, such as air
 missions, to environmental media other than groundwater.  Id. at 112..
      The text of the statute, the broad remedial purpose, and the clear intent
 to-authorize action beyond the scope of the permit regulations support the
 position that Section 3008(h) authorizes EPA to address all types of releases
 of hazardous waste within a facility.  As discussed previously, the terra
 •hazardous waste*  encompasses 'hazardous constituents'  from both hazardous and
 solid waste.                                                        °
      Section 3008(h)  will also be used to address releases that have migrated
 from the facility.  New Section 3004(v),  which provides that EPA may issue
 orders requiring corrective action for releases that have crossed the  facility
 boundary if the permission of the owner of the affected property can be obtained,
 supports the Agency's interpretation that such releases are subject to action
 under Section 3008(h).   See also the Final Codification Rule.  50 FR 28716
 (July 15,  1985).
      In a §3008(h) order or judicial referral, Agency personnel should describe
 hazardous  and solid waste management units within the boundary of the  facility
 and hazardous and solid wastes  (and associated hazardous constituents) managed by
 the facility in addition to information indicating that a release has occurred.
Since Section 3008(h) unequivocally authorizes EPA to address  releases fron
units, the order or complaint should establish some  link between  the hazardous
constituents in a release and the  hazardous or solid wastes  in waste management
units where  possible.   For example,  the findings of  fact might state that the
facility treats, stores or disposes of  certain listed Subtitle C  wastes, that
those wastes were listed because.they contain  the hazardous constituents cited
in Appendix VII to 40 CFR Part 261  and  that some or  all of those  constituents
have been found in the  environment,  thereby indicating  a release.

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                                      -10-
  ...authorized to operate under Section 3005(e)..."



      This clause encompasses several classes of hazardous waste treatment/


 storage and disposal facilities.  First, facilities that have met each


 requirement for obtaining interim status in a timely manner are subject to


 Section 3008 (h).   With respect to those facilities brought into the hazardous


 waste management system when the Phase I RCRA rules went into effect, to establish


 interim status EPA must demonstrate that: (1)  the facility was in existence on


 November 19, 1980, and; (2)  the owner or operator complied with the requirements


 of  Section 3010(a), regarding notification of  hazardous waste activity,  and;


 (3)  the owner or  operator submitted a Part A application in accordance with 40 .


 CFR 270.10.   As to those facilities in existence on the data of regulatory or


 statutory changes that render the facility subject to the requirement to obtain!


 a permit under Section 3005,  to establish interim status the Agency must demonsjuratp


 (1)  that the facility was in  existence on the  appropriate date and (2) submitted


 a Part A permit application in  accordance with the requirements of 40 CFR 270.10.


 If a statutory or regulatory  change requires notification under Section  3010,


 EPA  roust also establish that  the  facility submitted the notification.


     Second,  Section 3008(h)  applies to facilities that treat,  store,  or dispose


of hazardous waste,  but have  not actually obtained interim status  because  the


owner or operator did not fully comply with the  requirements  to submit a Section
                                                                          v'

3010 notification and/or a Part A.   Such facilities have been allowed  to operate


 in accordance with a formal enforcement action or  an Interim Status Compliance


Letter requiring  compliance with Part  265 standards.  Furthermore, the owners


or operators are  not relieved of the duty to apply for  and  obtain  a final RCRA


permit.  See e.g., the notice of implementation and enforcement policy for loss

                                 *•                                    - •

of interim status under Section 3005(e), 50 FR 38947-48 (September 25, 1985).

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                                      -11-
 The Agency believes that Congress intended the interim status corrective action
 authority to apply to such facilities.  The legislative history for Section
 3008 (h) supports this position by making it clear that the authority can be
 used to address releases from units that-do not have-interim status, such as
 wastewater treatment tanks.  H. Rep. No. 1133, 98th Gang., 2d Sess. 112  (19S4)
      Third, EPA considers Section 3008(h)  to be applicable not only to owners
 or operators of facilities in the above two categories but also to units or
 facilities at which active operations nave ceased and interim status has been
 terminated pursuant to 40 CFR Part 124 or Sections 3005(c) and 3005(e)(2)  of
 RCRA.   Section 3008(h)  specifically provides that the interim status corrective
 action orders may include a suspension or revocation of the authority to operate
 under interim status,  as well as any .other response necessary to protect human
 health or the environment.   Consequently,  a corrective measures program  can
 be imposed under Section 3008(h), even if  a facility's interim status has been
 taken  away as a result  of an interim status corrective action order.   The
 Agency also believes that Section 3008(h)  can be used to compel responses to
 releases  at facilities  that'lost interim status prior to a $3008(h)  action.
 This approach is consistent with Congressional intent to assure that
 significant environmental problems are addressed at facilities that  treat,'
 store  or  dispose of hazardous waste  but do not have a final RCRA operating  or
 pest-closure permit.  H.  Pep.  No. 1133, 98th Cong.,  2d Sess.   1X0-112  (1984).
   •  Whera a State  is authorized to  administer the  RCRA program, the  require-
nents  for obtaining the State's  equivalent to interim status may differ  from
 those  of  the federal program.  In authorized States that do not duplicate the
 federal procedures, hazardous  waste  treatment,  storage and disposal facilities
 that have not been granted  or denied a final RCRA permit are generally considered
 interim status facilities.   Land disposal  facilities that were issued State pemits

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                                      -12-
 after November 8, 1984 but have not yet received the federal portion of the
 permit applicable to continuing releases under Section 3004(u) are treated for
 purposes of this guidance in the same manner as interim status facilities.
 Similarly, hazardous waste underground injection wells that did not receive a
 UIC permit prior to that date will also be treated in the sane manner as interim
 status facilities.  See the notice of implementation and enforcement policy for
 loss of interim status under Section 3005(e).  50 FR 38947 (September 25,  1985).

 •...Corrective action or.such other response measure as he deems necessary
 to protect human health or the environment ..."
   '   Prior to the Hazardous and Solid Waste Amendments of 1984, the term
 •corrective actionV  in the RCRA regulatory context, referred to removal or
 treatment in place of Appendix VIZI hazardous constituents in groundwater.
 40 CFR 264.100.   Section 3008(h) is not restricted to remedial action  for
 ground-water contamination,  however.   The statutory language and the legislative
history indicate  that a wide range  of responses to releases to all  media from
waste management  activities  may be  compelled.   Financial  assurance  for any
 response measure  may  also be required.
     The authority can be used  to require  implementation  of one or  more  stages
of a clean-up program,  such  as:
     * Containment, stabilization or removal of the  source of contamination,
     • Studies to characterize  the  nature and extent of contamination and to
       assess exposure and health and environmental  effects,
     0 Identification and evaluation of remedies,
     • Design and construction  of the  chosen remedy,
     • Implementation of the  remedy, and
     • Monitoring to determine  the  effectiveness of  the remedy.

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                                      '  -13-

       For example,  a  $3008 (h) order might  require  that  the owner or operator
  conduct a  study  to characterize  the  nature and extent  of contamination, then
  select  a remedy  and  submit a corrective action plan to EPA.  The fqeno/ and the
  owner or operator  would then confer  on the plan and "amend the order to reflect any
 modifications.   H. Rep. No. 1133, 98th Cong., 2d  Sess.., Ill  (1984).  Because a
                                                   '  •                 \   •
 study on the nature  and extent of contamination and the selection and design of
 a remedy may require a significant amount of time, Section 3008(h) should be
 enployed to require  interim measures as necessary to protect human health and
 the environment prior to completion of the study and selection of a remedy.
 Examples of interim remedies that could be cancelled include removal of the
 waste or containment of the source of the contamination by lining a unit or
 erecting dikes.  In sane instances, preliminary pumping and treating of affected.
 groundwater may be  appropriate.
      While  the information needed to make a determination that there is or has
 been a release is minimal, more  information may be needed to justify a specific
 interim  or  full remedy.  The Administrator can require  "corrective action  or  -
 such other  response measures as he deems  necessary to protect human  health or
 the  environment."  To show  that a response may be  necessary  to protect human
 health or the  environment, the present or  potential threat posed by  the release
 should be described.  The Agency  may  consider a variety of factors,  including
 the  quantity of hazardous waste;  the  nature and concentration of, hazardous
 constituents or other hazardous properties exhibited by the waste; the  facility's
waste management  practices; potential exposure pathways; transport and environmental
 fate of  hazardous constituents; humans or  environmental receptors  that might be
exposed; the effects  of exposure, and; any other appropriate  factors.  To compel
 corrective  action investigations'*or studies,  only  a general threat to human
 health or the environment needs to be identified.

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                                       -14-
 IV.  ADMINISTRATIVE ACTIONS
      Under Section 3008(h), the Agency can issue administrative orders or
 ccranence a civil judicial action.  The decision to pdrsue an administrative
 or judicial remedy nust be made on a case-by-case basis since each approach
 has advantages and disadvantages.  An administrative order, for instance, can
 usually be issued quickly, while preparation for a judicial action may be more
 tine-consuming and most be referred to the Departanent of Justice.   On the
 other hand,  a judicial order or'consent decree can be enforced readily since
 the court already has jurisdiction of the matter.
      EPA may issue a S3008(h)  administrative order to require corrective
 action or any response necessary to protect human  health or the environment.
 The order may include a suspension or revocation of authorization  to  operate.
 If  any person named in the order fails to conply with the order, the  Agency
may inpose a civil penalty not to exceed  $25,000 for each day of noncorpliance.

Notice to States
     Section 3008(h)  does  not  require that States  be given  notice  of  an impending
action.   To  ensure that the Agency is fully informed of  relevant facts and, in
view of the  Federal/State  relationship, consultation with the State should
usually precede an EPA action.   To avoid misunderstandings, reasonable notice
should be given to the State when an action is taken.  The notice  should  include
the  location and a description of  the facility,  the  names and addresses of the
owners  and operators,  the  conditions requiring a response and a description of
the action that EPA will require.

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                                       -15-


 Elements of Orders

      Because it is the focal point in all proceedings subsequent.to its issuance,

 the initial order raust be as complete as possible.  Failure to develop an

 adequate document may have adverse consequences if the Agency seeks judicial

 enforcement.  All S3008(h) orders should contain the following general elements:

      • A statement of the statutory basis for the order.

      0 Factual allegations shewing that there is or has been (1) a release (2)
        of hazardous waste or hazardous constituents (3) into the environment
        (4) at or from an interim status facility.  Facts indicating that the
        response is necessary to protect human health or the environment should
       ' also be presented.
                      \
      • A determination,  based on the factual allegations, that there is or
        has been a release of hazardous waste or hazardous constituents to
        the environment from an interim status facility.

      0 An order that clearly identifies the tasks to be performed,  and a schedule
        of compliance accompanied by appropriate reporting and approval requirements.

      • A statement informing the respondent that he has a right to  request.
        a hearing within  30 days of issuance concerning any material fact in
        the order or the  terms of the order.

      * A notice of opportunity for an informal settlement conference.   It
        is the Agency's policy to encourage settlement of $3008(h) actions
        through  informal  discussions.   The respondent should be  cautioned,  however,
        that a request for a conference does not affect.the 30 day period for
        requesting a hearing.

    0   A. statement that  EPA may assess penalties not to exceed  $25,000 per
        day of non-compliance with the order.

      It may be  appropriate to include a provision for stipulated penalties in

orders 'on consent.  Such a provision, however,  should be drafted to make it
                                                              \
clear that the  stipulated penalty is not EPA's  sole remedy and  that Agency has

not waived its  statutory authority to assess penalties under Section 3008(h)(2)

It is  recommended that the Regions pursue judicial referrals to impose penalties

for noncompliance with a S3008(h)  administrative order rather than  issuing

a subsequent order for penalties.

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      Releases fror, liability and covenants not to sue may be sought by parties


 negotiating S3008(h) orders.  These provisions terminate or seriously impair


 the Federal Government's right of action against a party.  In general, the


 interim CEFCLA Settlement Policy (December 5, 1984) may be followed.  Releases


 generally will not be appropriate, however, where the extent of contamination,


 the reliability of the remedy or long-term operation and maintenance requirements


 are uncertain.  If provided, they should be narrowly drawn.  In addition,  EPA


 personnel should exercise particular care in drafting such provisions to ensure


 that they do not restrict the operation 'and enforcement of the on-going  RCRA


 regulatory, program.   Moreover, the order should  also contain a provision reserving


 the Agency's right to take additional action .under RCRA and other laws.  For


 example,  EPA should reserve the right to expend  and recover funds under CERCLAjf


 to  bring  imminent and substantial endangerment actions  under RCRA $7003 and


 CERCLA 5106;  to  assess penalties for violations  of and  require compliance with


 RCRA requirements under 53008(a);  to address  releases other than those identified


 in  the order;  to require  further action as  necessary to respond to the releases


 addressed  in  the order, and; to take action against  nonpar-ties  if appropriate.




 Hearing Requirement


     To issue a  unilateral  S3008(h)  order,  EPA must  comply with the requirements


of  Section 3008(b) with respect to an opportunity for a hearing.  130 Gong. Rec.


S9175 (daily ed. July 25, 1984).  Although procedures for S3008(a) administrative


actions have been established by regulation (See 40 CFR Part 22), those regulations


are not legally  applicable  to S3008(h) actions.  Hearing procedures for $3008(h)


actions are under development.   Until formal guidance is available, a Region


 that intends  to  issue a unilateral order should contact the Office of .Waste
                                 V

Programs Enforcement, Office of  Solid Waste and Emergency. Response.

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                                       -17-


 Developnent and Preservation of the Administrative Record

     _$3008(h) orders might be-reviewed in administrative or judicial proceedings.

 Therefore* it is essential that information required by the statute and all

 other relevant information or documents obtained by the Agency be conpiled in

 an administrative record, preserved and readily retrievable.  The "EPA official

 initiating the action should maintain a file that contains the following:

      • EPA investigative records,  such as inspection reports,  sampling and
        analytical data, copies of  business records/ photographs, etc.;

      • Reports arid internal Agency documents used in generating or supporting
        the enforoanent action, including expert witness statements;

      0 Copies of all documents filed with the Regional Hearing Clerk or the
        Presiding Officer;

      • Copies of all relevant correspondence between EPA and the respondent;

      • Written records of conferences and telephone conversations between
        EPA and the respondents, and;

      • Copies of all correspondence between  EPA and State or other federal
        agencies pertaining to the  enforcement action.

V. CIVIL JUDICIAL ACTIONS

     Under Section 3008(h),  EPA may initiate civil judicial action to compel

appropriate relief,  including a temporary or permanent injunction,  or to

enforce a  §3008(h)  administrative  order.   As noted previously,  the decision

to pursue  administrative  or  judicial  remedies will be made  on a case-by-

case basis.  Generally, however, a civil  judicial  action may be preferable

to -issuance of an administrative order in the following types t>f situations:

        • A person  is not  likely to comply with an  order or  has  failed to
         comply with a S3008(h) order.

        • A person's  conduct must be stopped  immediately to  prevent  irreparable
         injury, loss  or  damage to human  health or the environment.

        • Long-term,  complex and costly response measures will be required.
         (Because compliance problems are more likely to arise  during  •
         implementation of these actions  than while carrying out a simple,
         short-term  action, it may be better  to have the matter already
         before the  court for ease of enforcement.)

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                                     -18-
 Other factors that could be considered include the value of  a favorable decision


 as precedent and the need to deter nonccnpliance by other potential  targets for


 EPA enforcement action under Section 3008(h).


      A request to file a civil judicial action must be referred by the Assistant


 Administrator for Enforcement and Compliance Monitoring  to the Department of


 of Justice.   The procedures that Agency personnel should follow to develop a


 referral and support litigation are described  in the RCRA/CERCLA Case Management


 Handbook (August, 1984)  and the RCRA Caroliance/Enforcement Guidance Manual


 (September,  1984).

    i                                    •                        .
 VI. USE OF SECTICN 3008(h)  IN RELATION TO PERMITTING, CLOSURE AND  OTHER AUTHORITIES


 RCRA Permits

      The pre-HSWA regulations applicable to corrective action at permitted facilities


 deal only with a remedial program for treatment in place or removal of groundwdter


 contaninated by a release from a 'regulated unit1.   (Prior to HSWA, the term


 •regulated unit1, meant a surface impoundment,  landfill,  land  treatment unit or


 waste pile that operated after January 26, 1983.   Enactment of new Section 3005(i)


 which provides that the  Part 264 groundwater monitoring, unsaturated zone monitoring


,and corrective action requirements are applicable at the time of permitting to


 landfills, surface  impoundments, waste piles and land treatment units that received


 Subtitle C hazardous wastes after July 26, 1982,  necessitated a corresponding change
                                                                *

 in  the  definition of regulated unit).   Enactment of Section 3004(u) enlarged the


 universe of  units subject to corrective action at RCRA facilities  by requiring


 that a  facility seeking  a RCRA permit address  all releases of hazardous waste


 and hazardous constituents  at any hazardous or solid waste management unit.

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                                       -19-
 In addition to increasing the number and kinds of units subject to corrective

 action, EPA will use the Section 3004(u) authority to address releases to air,

 land and surface waters as well as to groundwater.  Furthermore, Section 3004(v)

 allows EPA to require corrective action beyond the facility boundary where

 necessary to protect human health and the environment unless the facility

 owner or operator is unable to obtain permission from the owner of the affected

 property.

      Permitting can be a lengthy process.  Therefore, the interim status

 corrective action authority should be used to address significant environ-

 mental problems prior to issuance of the permit.  With respect to 'regulated

 units', which cannot be permitted until the facility is in compliance with .

 Part 270 requirements to assess ground-water contamination and develop a

 corrective action plan if necessary, Section 3008(h)  may be particularly useful

 for compelling activities not addressed by the Part 265 and Part 270 regulations.

 For instance,  interim corrective action measures could be reouired prior to

permit issuance.   For releases from solid waste management units and hazardous

waste management  units other than 'regulated units',  Section 3008(h)  may be

used to compel  interim measures,  studies to characterize the nature  and extent

of contamination  and  the threat posed by the release,  selection  of remedy and

design,  construction  and implementation of the remedy.

     If  an interim status  facility  is seeking an operating permit or will be

required to obtain a post-closure permit,  any S3008(h) action at that facility

should be designed to meet the needs of  the permitting process to the extent

possible.  If all necessary  steps in a  corrective measures program will not be

completed prior to issuance  of'a permit, compliance schedules in the order
                               V
should be developed so that  they can be  readily incorporated  in  the permit.

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 RCRA Closures



      EPA believes that the interim status corrective action authority will



 be useful in assuring environmentally sound closures of RCRA hazardous waste



 management units.  Section 3008(h) may be used to supplement the interim status



 closure regulations.  Approval of a closure plan does not limit the Agency's



 ability to use Section 3008(h), as well as other applicable corrective action



 authorities, to deal .with releases of hazardous waste or hazardous constituents.



 In view of the number of interim status closures anticipated as a result of



 new statutory and regulatory requirements, the Regions are encouraged  to



 employ the interim status corrective action authority to assure that RCRA



 hazardous waste management units are closed in a manner that properly  protects



 human  health and the environment.





 Other Enforcanent Authorities



     Because of the  broad scope of Section 3008(h) and the variety of  activities



 that can  be  compelled,  the interim status  corrective  action authority may be



 employed  in  conjunction with  other enforcement authorities,  although it may be



 appropriate  to issue separate,concurrent orders due to differing hearing



 requirements.   For example, where a  violation  is  associated with a  release of



 hazardous waste or hazardous  constituents,  a Section  3008(a) action should be



 used to require compliance with the  regulation and assess penalties while a



Section 3008(h)  action  could  be employed to compel response actions that go



 beyond regulatory requirements.  Section 3013, which  allows the Agency tc



 carpel owners or operators of treatment, storage or disposal facilities to



 conduct certain types of  studies, may be used  when the presence of hazardous



waste may present a  substantial, threat but EPA does not have sufficient



 information  to make  a determination that there is or has been a release.

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                                       -21-
      With regard to imminent and substantial endangerment actions, the legis-
 lative history makes it clear that enactment of Section 3008 (h)  does not
 alter the Agency's interpretation of Section 7003. _ H. Rep.  No.  1133, 98th Cong.,
 •2d Sess. ill (1984).  RCRA $7003 or CERCLA $106 actions are  appropriate if
 conditions at an interim status facility nay present, an raninent and substantial
 endangerment and the Agency needs to move o^ickly to address the problem.  The
 'imminent hazard* provisions of RCRA and QERCLA may be especially helpful  if
 the Agency wishes to take action against responsible parties other than or in
 addition to the current owner or operator.
VII.
     The policies  and procedures set forth herein  and the internal office
procedures adopted pursuant hereto are  intended solely for the guidance
of United States Environmental Protection  Agency personnel.  These policies and
procedures are not intended to,  do not, and may not be relied upon to create a
right or benefit,  sxibstantive or procedural, enforceable at law by a party to
litigation with the United States.  The Agency reserves the right to take any
action alleged to  be at variance with these policies and procedures or that is
not in ccnpliance with internal  office procedures that nvay be adopted pursuant
to these materials.

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This Page Intentionally Left Blank

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          UNITED STATES EN VIRONMENTAL PROTE

                      WASH.NGTON. D.C. 20460             9502.1986(01)


                        JAN  8 1986
                                                       OFFICE OF
                                              SOLID WASTE AND EMERGENCY RESPONSE
MEMORANDUM

SUBJECT:  RCRA Corrective Action  at  Federal  Facilities
FROM:     3# WTrfseon P6rter
          Assistant Administrator

TO:       Regional Administrators,  Regions  I  -  X


     On November 19, 1985, I  sent you a memorandum describing a
Federal Register notice we intended to publish  addressing
RCRA corrective action activities at Federal  facilities.   In
that memorandum, I requested  that you contact each of  the
environmental commissioners  in  your Region  to inform them  of
the notice and explain to them  the  issues  involved.

     Shortly after that I sent  another memorandum requesting
that contact with the State  environmental commissioners be
delayed while we considered  some issues surrounding the notice.
Those issues have now been resolved and I  am, once again,
requesting that you personally  contact your environmental
commissioners to explain the  notice.  Lee  Thomas and I are
meeting with the fifteen State  environmental  commissioners on
the State/EPA Committee on January  16.  Since I intend to  bring
this issue up at the meeting, I would appreciate your  making
these contacts before the meeting.

     I am attaching a copy of my November  19  memorandum, the
Federal Register notice and  talking points  which may be
useful wheri you telephone the environmental commissioners.
As before, subsequent to your contacts with the environmental
commissioners, I recommend that your RCRA  Division Directors
and Branch Chiefs also contact  their State  counterparts  in
order to inform them.

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                               - 2 -
     The_development of regulations addressing corrective action
at Federal facilities will take some time.  However, I want to
stress that we should proceed, in close cooperation with the States,
to process Federal facility permit applications, including correc-
tive action where required.

Attachments

cc:   Hazardous Waste Division Directors,
     Regions I - X
     Hazardous Waste Branch Chiefs,
     Regions I - X

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            UNITED STATES ENVIRONMENTAL PRO             9502.1986(01)
                        WASHINGTON, D.c. 204             Attachment
                              19 1985

                                                         OFFICE OF
                                                SOLID WASTE AND EMERGENCY RESPONSE
MEMORANDUM

SUBJECT:  RCRA Corrective Action at  Federal  Facilities
                   6^V-«C\
FROM:     J. Winston Porter
          Assistant Administrator

TO:       Regional Administrators, Regions I -  X

     On July IS, 1985, EPA codified  the  requirements  of  the
Hazardous and Solid Waste Amendments of  1984  (HSWA)  in the Federal
Register.  The preamble to the Codification  Rule  (50  FR  28712)
explained that Federal agencies had  several  concerns  a"Eout the
corrective action provision in S3004(u)  of HSWA.   The preamble
stated that EPA would attempt to resolve the legal and policy
issues raised by the other agencies  subsequent  to promulgation
of the Codification Rule.

     Following extensive negotiation,  EPA and the Federal agencies
have agreed that Federal facilities  are  subject to corrective action
requirements to the same extent as any other facility.   This decision
will be announced in the Federal Register (see  attached  draft notice,
an advance copy of which was E-mailed  to you on Friday,  November 15).
The announcement will also explain that  the  Federal  agencies have
identified several issues which EPA  believes merit further considera-
tion through future rulemaking.

     By this memorandum, I will explain  those issues  and how EPA
intends to address them.  I am also  requesting  that  you  personally
contact each of the State environmental  commissioners in your
Region to inform them of the soon-to-be  published Federal Register
notice and explain to them the issues  involved.

     Below is a full discussion of each  of the  issues raised by
the Federal agencies and how EPA intends to  address  them.   I
have also attached talking points which  may  be  useful when you
telephone the environmental commissioners.   I ask that you make
all of the telephone calls by November 27.   Subsequent to your
contacts with the environmental commissioners,  I  recommend
that your RCRA Division Directors and  Branch Chiefs  also contact
their State counterparts in order to inform  them.

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                             - 3 -
     As stated earlier, EPA intends to fully involve the States
in the development of the rules described here.  We also intend
to involve Federal agencies and environmental groups, in order
to obtain the broadest possible perspective in developing the
regulations.  Please solicit, from your States, their views on
how we might best obtain State input; i.e., the appropriate
State organizations or individuals in State government who should
be involved in our negotiations.

     We have informed the Regional RCRA Division Directors and
Branch Chiefs of a conference call on this issue.  The call will
be conducted on November 21 from 2:00 to 3:00 pm, Eastern Standard
Time, and will be sponsored by staff of the Office of General
Counsel and the Office of Solid Waste.  To participate in the
call, Regional personnel should dial FTS-475-8347.

Attachments

cc:  Hazardous Waste Division Directors,
     Regions I - X

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January 23, 1986                                     9502.1986(Ola)


MEMORANDUM

SUBJECT:  Information on Solid Waste Management Units

FROM:     Marcia Williams,  Director
          Office of Solid Waste

TO:       Regional Hazardous Waste Division Directors


     As you know, §3004(u)  requires corrective action for all
releases of hazardous waste or constituents from previously
unregulated solid waste management units (SWMUs).   The
implementation of this provision has broad resource implications
for the RCRA program.  In order to properly plan for and request
the needed level of resources, we are undertaking a project to
characterize the SWMU universe nationally.

     This exercise will take place in conjunction with the Regional
Implementation Reviews and will be performed by Headquarters review
team members.   Based on the responses received from the SWMU
letters sent by your offices in January 1985, and any other SWMU
information summaries you may have already completed in-house,
information will be compiled on:  (1)  the number of unregulated
SWMUs by facility type (i.e., storage/treatment, incinerator,
disposal),  and (2) information on the type of SWMUs if such
information is available.  Although your existing SWMU information
should be available at the time of the facility review portion of
your scheduled Implementation Review,  this exercise will not
require you to further analyze or summarize that information.  A
review team member will contact your staff prior to the facility
review.

     If you have any further questions concerning this project,
please contact Peter Guerrero, Chief Permits Branch, at 382-4740.
        This has been retyped from the original document.

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           (J N •  '." • •  ^ I .. ' -


                                                         9502.1986(02)
Mr. Richard C. Fortuna
Hazardous Waste Treatment Council
1919 Pennsylvania Avenue, N.W.
Washington, D.C.  20006

Dear Mr. Fortuna:

     I am pleased to respond to your letter of December 30, 1985,
in which you posed several questions regarding the Environmental
Protection Agency's current policy approach to implementing the
new RCRA corrective action authorities provided by the Hazardous
and Solid Waste Amendments of 1984 (HSWA).  The following are
our responses to the specific questions which you raised in your
letter.

        Q:  Can a facility terminate interim status simply by
            withdrawing  its Part A application?

        A:  A facility cannot simply withdraw its Part A application
            with the intention of terminating interim status and
            thereby absolve itself of any future RCRA responsibil-
            ities.  As provided by 40 CFR 270.73, interim status
            is terminated when  (a) final administrative disposition
            of a permit  application is made; or  (b) interim
            status is terminated as provided in  §270.10(e)(5).
            Termination  of interim status must take place according
            to the procedures specified in 40 CFR Part 124.
            Thus, a facility  such as the one mentioned, in your
            letter cannot terminate its interim status by simply
            withdrawing  its Part A application.  Interim status
            will additionally be terminated if a facility  failed
            to certify under  the Loss of  Interim Status provisions
            of HSWA, and may  be  terminated pursuant to an enforcement
            order.  In any case, however, the termination of interim
            status does  not terminate the facility's obligation  to
            comply with  interim status  requirements, including
            groundwater  monitoring and  closure,  permitting
            requirements or corrective  action requirements.

        Q:  Are  all land disposal units that  received hazardous
            wastes after July 26,  1982,  subject  to  the  $3004 cor-
            rective action requirements,  even  if such  a  unit  is
            closing?  What if such  units  did  not take  hazardous
            wastes, but  are  releasing hazardous  constituents?

        A:  Yes,  all  land disposal  units  that accepted hazardous

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                       -2-

     waste after July 26,  1982, are  potentially subject  to
     RCRA corrective  action  authorities.   First,  EPA would
     consider all such units to fall within the scope of
     its  authority to issue  corrective  action orders to
     interim status facilities under Section 3008(h). EPA
     believes that Section  3008(h) applies not only to
     facilities  operating under interim status,  but also  to
     all  facilities that terminate interim status and
     facilities  that  accepted hazardous waste after November
     1980,  but never  formally qualified for interim status.
     In addition, 40  CFR §270.l(c) currently requires units
     that receive hazardous  waste after January 26, 1983,
     to obtain either operating permits or post-closure
     permits.   These  permits will require corrective action
     under 40 CFR 264.100 and Section 3004(u).  Also, new
     Section 3005U)  requires all units receiving hazardous
     waste after July 26,  1982, to meet the requirements
     of Subpart  F to  40 CFR  Part 264.   This includes
     requirements for corrective action for releases to
     groundwater under 40 CFR §264.100.  To implement
     this requirement,  EPA  is in the process of amending
     §270.l(c) to extend permit applicability to units
     that received hazardous waste after July 26, 1982.
     These permits will also require corrective action under
     40 CFR 264.100 and Section 3004(u).   A land-based unit
     that does not receive hazardous waste, but releases
     hazardous constituents  may fall under these corrective
     action requirements.  We will assume for the purposes
     of answering your question that the unit accepted solid
     waste and is a solid waste management unit.   All releases
     of hazardous constituents from  solid waste units located
     within the  boundaries  of a facility that contains any
     hazardous waste  unit  subject to the Section 3008(h)
     interim status order  authority  or subject to permit
     requirements will fall  within the scope of the new
     corrective  action requirements.  Section 3008(h) allows
     EPA  to order cleanup  of releases from solid waste units
     at facilities within  the scop*  of the interim status
     corrective  action authority; Section 3004(u) requires
     cleanup at facilities  that obtain permits.

Q:   When is a facility or unit  that undertakes closure
     subject to corrective action  for continuing releases,
     and under which authorities:  §3005(c) post-closure
     permits, $3004(u), §3008(h),  or §3005(i)?  Under what
     circumstances would different  or dual authorities be
     used at the same facility?  Which units would be subject
     to post-closure permits, and which units subject to
     other corrective action mechanisms?

At   As explained above,  if a closing unit has caused a
     release requiring corrective  action,  that corrective
     action can  be required through either a  post-closure

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                       -3-

     permit (using the authority of §264.100 or §264.101,
     depending on the type of unit and the type of corrective
     action required), or through an enforcement order.  (We
     are assuming that, by referring to closure,  you  are
     describing a facility that has at least one unit that
     accepted hazardous waste.) Section 3005(i) of RCRA
     does not of itself provide a separate mechanism  for
     corrective action; rather, it simply establishes the
     applicability of Part 264 standards to regulated units.

          The exact mechanism(s) which will be used to
     require corrective action will depend on the specifics
     of the situation at the facility.  The scope of  the
     corrective action authorities under §3008(h) and §3004(u)
     are similar.  Regions and States are in the process  of
     preparing plans  for environmentally significant
     facilities to determine which authority, or combination
     of permitting and enforcement authorities, may be
     appropriate and  yield most effective environmental
     results.  An example of a situation where a mix  of
     authorities might be used to implement corrective
     action could be  a facility where a serious release
     situation is known to exist, but where a permit  for the
     operating units  at the facility will not be issued for
     a substantial period of time.  A §3008(h) enforcement
     order could be issued to compel the owner/operator to
     begin the necessary investigations and/or implement
     required corrective actions, while the permit is being
     prepared.  When  the permit is issued, the remaining
     corrective action activities would be conducted  under
     the permit.

         As explained in the previous response, the facilities
     currently subject to post-closure permits include all
     of those facilities that had an operational land disposal
     unit as of January 26, 1983.  If a facility is subject to
     a post-closure permit, all solid waste management units
     at that facility are covered by that permit.

Q:   What monitoring  requirements are or will be imposed
     at such facilities to determine the nature and scope
     of the required  corrective action?

At   Regulated units  which close under  interim status
     are subject to the applicable ground water monitoring
     requirements of  Subpart F of Part  265.  The adequacy
     of existing ground water monitoring systems will be
     evaluated as part of the closure process, and if
     necessary, will  be required to be  upgraded.  If ground-
     water contamination  is detected, the owner/operator
     is required under §265.93 to make  an assessment of the
     -nature and extent of contamination.  In  addition, the
     units are subject to other  authorities,  including post-

-------
                       -4-

     closure permits and orders under Sections 3013 and 3008.
     Upon issuance of a post-closure permit, the applicable
     requirements for ground water monitoring, including
     compliance monitoring and corrective action, must be
     complied with.   As indicated by the preamble of the
     final codification rule, the Agency will generally
     look to the protection standards of Subpart F for
     clean up levels for releases to ground water at solid
     waste management units.  EPA is developing technical
     guidances for investigations at solid waste management
     units.

Q:   Would units that stored or managed fuels deemed to be
     hazardous under State law also be considered solid waste
     management units?  Under what circumstances, if any,
     would such units not be solid waste management units?

A:   The question of whether or not a unit which stores
     or manages a fuel would be classified as a solid
     waste management unit depends, in part, on whether or
     not that fuel is considered to be a solid waste under
     Part 261 RCRA regulations.  If the fuel is a solid
     waste,  the unit would be a solid waste management
     unit.

Q:   How does EPA Headquarters plan to interact with the
     States and EPA Regional Offices to ensure that closures
     of interim status facilities address the corrective
     action requirement?

A:   The Office of Solid Waste and Emergency Response
     currently is examining a number of issues relating to
     closing RCRA facilities and integration of corrective
     action at those facilities.  We expect to be issuing
     guidance to the Regions and States addressing the
     specific issues which you have raised, and others,
     in the future.

Please let me know if you have any questions.

                         Sincerely,  ^
                         J. Winston  Porter
                         Assistant Administrator

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                                                                  9502.1986(03)
             RCRA/SUPERFUND  HOTLINE MONTHLY SUMMARY

                              JANUARY 86
5.   Corrective  Action

    The Hazardous and Solid Waste Amendments of 1984  (HSWU set forth requirements
    for corrective action for continuing releases under $3004(u).  This provision
    is applicable to any facility that is seeking a HCRA permit.

    A facility  currently has a HCRA permit and is seeking a major modification
    to that permit under $270.41.  would this facility be subject to the corrective
    action requirements of $3004(u) when going through a major permit modification?

        Section  3004(u)  states that corrective action for a  facility shall be
        required aa a condition  of each permit issued after  November 8, 1984.
        BecauM  a permit modification is not equivalent  under $270.41 to the
        issuance of a permit, a  facility that  is seeking a major modification
        to a HCRA permit issued  prior to November 8,  1984,  is not required to
        address  the corrective action requirements of $3004(u).  A facility
        permit being reviewed for  reissuance,  however, is subject to the $3004(u)
        corrective action provisions.

        Source:    Carrie wehling  (202) 475-8067

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                                                        9502.1986(04)

          UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

                               I. O.C. 20460
                                                           OP
                                              SOLID WASTE AND EMERGENCY
MEMORANDUM

SUBJECT:  S.CRA Corrective Action at Federal Facilities

FROM:   "~~Bruce"tR. Meddle, '"Birector
          Permits and State Programs Division

TO:       Allyn M. Davis, Director
          Hazardous Waste Management Division (6H)
          Region VI


     This responds to your memorandum of January  15,  1986,  in
which you pose several Questions about corrective action at
Federal facilities.  I hope this clarifies the relation between
the national priorities and corrective action.

     You asked how national priorities for Federal  facilities
will be coordinated.  We do not expect tc have a  final rule
published in the Federal Register before eighteen months from
now.  In the interim, the Regions and States must continue  to
process and issue permits to Federal facilities.  Priorities
will be reflected in the compliance schedules of  the  permits
for individual Federal facilities.  Compliance schedules should
be negotiated on a case-by-case basis with each facility, with  •
one of the factors considered being the parent agency's nation-
wide corrective action responsibilities.

     There are many ways we could address national  priorities  in
the proposed rule.  One method would be to establish  a national
ranking for each Federal facility.  Another method  would be to
develop a process for negotiating compliance schedules for
corrective action at Federal facilities.  At the  moment we  are
considering the latter approach.  Under this method,  corrective
action would continue to be addressed as described  above.

     You also expressed concern about lack of funding for  Federal
facilities.  EPA can influence the parent agency's  funding  deci-
sions through the A-106 budgeting process.  You should aggres-
sively use the A-106 process to ensure  that funding is available
to undertake the activities in permit or enforcement  compliance
schedules in the timeframes provided.

-------
     You also asked if S3008(h) orders could be issued to
Federal facilities.  You should continue to issue $3008(h)
orders when appropriate.  Although we cannot assess penal-
ties to other Federal agencies, we can use the authority
of $3008(h) to compel investigation and cleanup activity.

     Finally, your memo stated that in accordance with
Winston Porter's November 21, 1985, memo, you would not
contact State Environmental Directors about corrective
action at Federal facilities.  That memo explained that
the States should not be contacted until issues raised by
the Department of Energy were resolved.  These issues
have now been resolved.  This was explained in a January 8,
1986, memo from Winston Porter requesting the Regions to
contact the States.  Please begin contacting State
Environmental Directors if you have not already done so.
If you have further questions about corrective action at
Federal facilities, contact Paul Connor of my staff at
(FTS) 382-2210.

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             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                                                         9502.1986(05)


                            MAR 2 4  1986
.^r. Philip X. Maaclantonio
United States Steel Corporation
one Tech Center Drive
.".onroeville, PA  15146

L-ear Mr. Masciantonlos

     I am pleased to respond to your letter of February 19, 1986,
regarding the applicability or" KCRA corrective action requirements
to facilities for which Psrt A applications were filed, but at
which hazardous wastes were never actually stored, treated or
Disposed.

     ltf as you stated in your letter, your facility never did
treat, store or dispose of haiardous waste (as defined in 40 CFR
Part 261), EPA does not consider that facility to have attained
interim statue, even though a Part A application was submitted
(i.e., a "protective filing").  This interpretation is outlined
in a Federal Register notice published on September 25, 1985
(50 FR 38946).

     Facilities which have never engaged in treatment, storage or
disposal of hazardous waste are not subject to the corrective
action provisions of RCRA §3004(u) or S3008(h).  It should be
noted, however, that authorities under CERCLA or other statutes
may be available to the Agency to address environmental concerns
at such facilities/ regardless of their status under RCRA.

     I hope this has adequately addressed your concerns.  Please
let me know if I can be of further assistance.

                                Sincerely,
                                J. Winston  Porter
                                Assistant Administrator

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         UNITED STATES ENVIRONMENTAL PROTECTION AGENCY        9 50 2.1986( 06)
                    WASHINGTON. O.C. 104*0

                         APR I5BB6
                                                     Of HCt Of
                                            •OLIO WATT! AND IMPNQBNCV
Honorable Mary L. Walker
Assistant Secretary for
  Environment, Safety and Health
Department of Energy
1000 Independence Avenue, S.W.
Washington, O.C. 20585

Dear Nary:

     Section 3004(u) of the Resource Conservation and Recovery
Act (RCRA) requires hazardous waste facility owner/operators
seeking permits to undertake corrective action  for environmental
releases at solid waste management units within their facilities.
On March 5, 1986, EPA published in the Federal  Register a notice
(copy enclosed) announcing EPA's  intent to promulgate rules
implementing these corrective action provisions at federal
facilities.

     Among other things, the March 5 notice indicated that
•EPA intends to develop rules that would allow  Federal agencies,
subject to EPA approval after consultation with the  States, to
set priorities for correcting releases from solid waste manage-
ment units at facilities that they own or operate.*

     The notice also indicates that, in the interim  before
these rules are finalized, EPA and the States will review and
issue RCRA permits, with EPA Implementing corrective action
requirements at federal facilities until the State is authorized.
EPA will address issues not yet resolved by rulemaking on a
case-by-case basis.

     I want to encourage you to begin developing plans to
establish corrective action priorities within your agency.
Having such internal priorities will facilitate the  ongoing
negotiation process for permitting during this  interim period.
I would like to s»et with you within the next two  to three
months to discuss your preliminary prioritisation  planning.

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                             -2-
Please  contact  jin Cruickshank  of my safr, St

     Thanks very much  for  your  cooperation and assistance

                                Sincerely,
                                J. Winston Porter
Enclosure

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                                                                  9502.1986(07}
              RCRA/SUPERFUND HOTLINE MONTHLY SUMMARY

                                APRIL 86
7.  Corrective Action for UIC Wells

    The owner of  a  hazardous  waste underground  injection well  is
    applying to his State for a UIC  permit  after November 8,  1985.
    Section 3004(u), as  amended by the  Hazardous and Solid Waste
    Amendments of 1984,  stipulates that a RCRA  permit  issued after
    November 8, 1984 must require corrective  action for all releases
    of hazardous  waste or constituents  from any solid  waste management
    unit at a treatment, storage, or disposal facility.  Must  corrective
    action be addressed  in the UIC permit?

         Section  270.60(b), regarding permit-by-rule regulations  for
         UIC wells  was amended in the final codification rule  (50 PR
         28752) to  require compliance with  corrective  action regulations
         under §264.101.  The proposed  codification rule of March 28,
         1986 restates that a UIC permit issued after  November 8, 1984
         is not a RCRA permit-by-rule until corrective action  reouirements
         have been  met for all solid waste  management  units at the
         facility (51 FR 10714). A  memorandum  dated April 9,  1986,
         from Michael Cook (Office of Drinking  Water)  to the Regions
         further  clarifies this point by stating that  a UIC permit  is a
         RCRA permit-by-rule  when corrective  action has been  addressed
         for.the  entire  facility.

         Corrective action for the well only  will be addressed in the
         UIC permit.  If there are other RCRA units at the facility,
         corrective action for those units  will be addressed  in a RCRA
         permit,  when it is issued.  If there are no other RCRA units
         requiring  a RCRA permit, then  corrective action for  any  other
         solid waste management units will  be addressed  in the UIC
         permit.

         Source:     Dave Pagan  (202) 382-4740
         Research:   Kim  Gotwals

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                                                          9502.1986(07a)
               RCRA/SUPERFUND HOTLINE MONTHLY  SUMMARY

                                 APRIL 86
1.  Corrective Action Orders Under S3008(h)

    The owner/operator of a surface impoundment has managed hazardous wastes
    in the impoundment without interim status  or  a RCRA permit.  A release
    of hazardous wastes from the impoundment has  contaminated surrounding
    soil and groundwater.  Upon discovery'of this improper management and
    resultant contamination, the EPA intends to issue a corrective action
    order under Section 3008(h) of RCRA.   Given that the owner/ooerator
    never an interim status, can the corrective action order be issued?

         Section 3008(h) authorizes the EPA Administrator to issue
         corrective action orders to address releases of hazardous
         wastes into the environment from facilities authorized to
         operate under Section 3005(e).  This  authority extends to
         include those facilities that should  have had interim status,
         but failed to notify EPA under Section 3010 of RCRA or failed
         to submit a Part A application.   Accordingly, the corrective
         action order can and should be issued to ensure pronpt and
         thorough clean-up of the site.  (Please  see the December 16,
         1985 memorandum fran J. Winston Porter,  Assistant Administrator,
         Office of Solid Waste and Emergency Response, entitled
         "Interpretation of Section 3008(h) of the Solid Waste Disposal
         Act").

         Source:    Virginia Steiner  (202) 475-9329
         Research:  Jim Ginley

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              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY       acn, ,QOC,nQ
                   ,                                       "3 (J2 •198 o ( U5
                  *
MEMORANDUM
SUBJECTS  Permit Xasues Related to U.S. Amy -
          Aberdeen Proving Grounds

FROM t     Bruce Weddle, Director
          Permit* and State Prograna Division

TOi       Robert Allen, Chief
          Waste Management Branch


     In your Beoorandun of January 24, you requested  our  response
to several issues surrounding the issuance of the corrective
action portion of the pernlt for Aberdeen Proving Grounds.  Our
response to each issue is discussed separately below.  This
information has also been discussed with Jack PotosnaJc of your
staff.

1.  Definition of "facility" as it applies to Federal facilities.

     Notice was published March 5 (51 Federal Register 7722)
which resolves three issues outlined in the Final Codification
Rule, regarding the definition of facility for purposes of
corrective action at Federal facilities!

    1.  Mill establish that f3004(u) is applicable  to Federal
        facilities!

    2.  Reconfirms the definition of "facility*  as  the
        entire oite under control of the owner/operatori

    3.  *atab 11 ones that the owner of Federal lands is the
        Individual Federal departs»nt or agency* rather
        than too JB ft>vern»ent.

     A second notice was also published which announces  cur intent
to develop regulations to address additions! issues raised by
Federal agencieo including national priorities  for  corrective
action.

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                               -  2  -


2.  Unexploded Ordinances

     You inquired as  to whether  range/impact areas containing
unexploded ordinances at Aberdeen  qualify as solid waste management
units.  We believe such areas  do not qualify because there is a
strong argument that unexploded  ordinances fired during target
practice are not discarded Materials within the regulatory definition
of "solid waste".  Ordinances  that do not explode would be expected
to land on the ground.  Hence, the "ordinary use" of ordinances
includes placement on land.  Moreover, it is possible that the
permittee has not abandoned or discarded the ordinance, but rather
intends to reuso or recycle then At sons point in the future.

     Also, the U.S. District Court for the District of Puerto Rico
held that the military target  practice activities do not generate
"solid waste" because the statutory definition does not include
materials resulting from military  operations.  Barcelo v. Brown,
47« F. Supp. 646, 668-669 (D.  Puerto Rico 1979) (copy of relevant
portions attached).  The Court qualified this position, however,
by suggesting that when the military engages in activities that
resemble industrial, commercial  or mining operations, or community
activties, materials  resulting from such operations are wastes
and are subject to regulation  under RCRA.  Hence, we think the
Court's opinion suggests that  materials resulting from uniquely
military activities engaged in by  no other parties fall outside
the definition of solid waste.

3.  White Phosphorus Burial Zone

     As relayed in your memorandum, white phosphorus munitions
were dumped in a shallow water area and covered with fill.  The
area is part of the Chesapeake Bay, but it is within the boundary
of Aberdeen Proving Ground.  You asked whether the the fact of
being underwater restricts applicability of RCRA/ HSWA authorities,
and whether • mult 1 -year monitoring program can be prescribed at
the location.

     As described in  the January 30, 1985, draft guidance on
corrective action for continuing releases under |3004(u), the
tent "solid vaate management unit* applies to active and Inactive
unita containing hazardous wastes  or solid waatea at the facility.
Further, the tatm facility ia  defined  aa  including all  contiguous
property und*r the control of  the  owner or operator at which the
unita subject to permitting are  located.  In tha case  of the
white phoaphorua burial sone,  ainca white phosphorus ia a hasardous
waate and tha unit  ia located  within  tha  facility boundary, the
fact of being underwater would have no affect on its dasignation
as a solid waste management  unit.  Further, ainca tha  unit would
be subject to S3004(u), a water  quality monitoring program would
appear to be an appropriate  response  to determine evidence of
any ralaaaas from tha unit.

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                             - 3 -
4.  Radioactiva Material

     You Inquired as to whether aeveral it ana 11 a tad in your
memorandum fall undar tha "aourca apacial nuclear, by-product
material" exemption undar 261. (a) (4).  Tha items would not ba
axampt to tha extent thay ara mixad with or contain haiardoua
waato.  However, no RCRA ragulationa hava baan davalopad to covar
•uch mixed radioactiva waataa.

5.  Dru» Claanup

     Your laat iaaua cantarad on tha appropriatanaa of a permit
condition requiring a facility-wide aftort to locata and racovar
abandoned 55 gallon drums found on tha aita.  Drums with contents
would ba taatad and removed to tha containar atoraga araa if
found to ba hazardous.

     Wa do not baliava axiating authoritiaa would allow recovery
of thaaa druma unlaaa there waa evidence of a release.  Under the
authority of Section 30U4(u), if EPA'a preliminary aaaeaaoant
ahowed that there waa a reaaonabla likelihood of releaaea of
hacardoua conatituenta from any of theae drums, EPA or the facility
could teat the material in the drums to determine if the remaining
waste is hazardoua and to determine  if any raleasea have occurred.
If relaaaea had occurred, the appropriate corrective action measures
could be required.

     If you have any further questions, please contact George Palaon
at 382-4422.

Attachment

cct  RCRA Branch Chiefa (w/o Attachment)

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                                                            9502.1986(10)
          RCRA/SUPERFUND HOTLINE MONTHLY  SUMMARY

                             MAY 86
4. Corrective Action

   The Hazardous and Solid Waste Amendments of 1984 contain  several
   corrective action provisions.  Section 3004(u)  requires that  permits
   contain provisions for corrective action and financial responsibility
   for implementing such corrective action.  Amended Section 3004(a)
   of the Solid Waste Disposal Act (SWDA) authorizes regulations on
   financial assurance for corrective action.  Does this financial
   responsibility requirement extend to amended Section 3004(v),
   corrective action beyond the facility boundary?

        Yes, the proposed codification rule dated  March 28,  1986 (51  FR
        10714) explains that the financial responsibility requirement
        extends to corrective action beyond the facility boundary.
        Proposed Section 264.101(c) codifies this  requirement.   The
        final closure rule, issued on May 2, 1986  (51 FR 16422),
        contains sane financial responsibility provisions, but does
        not contain specific provisions for corrective action.   The
        Agency will address the specific requirements for financial
        responsibility for corrective action in a  separate proposal
        due out in September 1986.

        Source:    Debbie Wblpe  (202) 382-7729
        Research:  Kim B. Gotwals

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                                                               9502.1986(11)
                                  JW I 61986
      "r.  Harrv C.  Conner
      President an<1 CEO
      '.Jaste-Tech Services,  Inc.
      13400  West 10th  Avenue
      Golden,  Colorado  30401

      Dear Mr.  Conger:

           Thank you for your  May  21,  1986,  letter  concerning  the
      requirements  needed to meet  the  land disposal ban of  the Hazardous
      and  Solid Waste  Anendnents of  1984  (HSWA).  You  expressed concern
      that the  permitting process  and  the corrective action program pose
      an  impediment in meeting the July 1987 land disposal  ban deadline
      for  haloqenated  oroanics and similar deadlines.  We appreciate
      your thoughtful  comments and suqaested guidance  to the Regions
      and  States.

           while the Conaress  and  the  Environmental Protection Agency
      (EPA)  believe it is important  to implement the land disposal ban,
      Congress  did  not indicate a  willingness to forego other  important
      activities, such as corrective action  and permitting, to accomplish
      this.   EPA is trying  to  implement corrective  action and  permitting
      in a manner that has  the least disruptive impact on implementation
      of the land disposal  ban.

          As  to vour  suggestion for a waiver of the nre-construction
      ban,  Section  3005(a)  of  the  Resource Conservation and Recovery
      Act  (RCRA) precludes  construction of new facilities until a  permit-
      is issued. EPA  does  not have  discretion to waive this;  it would
      require  a statutory change.

           You  also mad* son*  specific suggestions  about corrective
      action.   He have issued  guidance which addresses many of your
      concerns  a copy  of which is  enclosed.   The guidance states that
      an incinerator/treatment unit  can be permitted separately.  That
      permit must address all  releases to media other  than  ground
      water  from regulated  units—i.e.* land disposal  units that received
      waste  after July 24,  1982—and all  releases from non-regulated
      units.  A permit issued  separatelv  to  regulated  units would
      address  any needed ground water  corrective action  in  accordance
      with Subpart  P of 40  CPR Part  264.  Corrective action for media
      other  than ground water  normally takes place  after  issuance  of
      the  permit through permit schedules of compliance.  Por  ground
       efore  issuance of  t
SYMBOL

-------
     Finally, nround water  rel^as^s  fron rertulatf?H  units  can  h
addressed in separately  issued  permits.   This  is  usually  the
"'ost tinie and resource  intensive  r>art  of corrective action,  so
it should greatly reduce permit development and  nrocessinq
for incinerator/treatment units.

     Aqain, thank you for your  thouohtful letter.  The Aqencv
identifies new treatment capacity as a hinh oerniittinn Priority
and will continue to do  everythinn that it can to inclement  the
"iost efficient reoulatorv nronra^ within the new provisions  of
the law.

                              Sincerely,

                                /*/ Taqk  W. I'cGiw

                              J.  Winston Porter
                              Assistant Administrator
 WH-562/D.ZEITLIN/sld/6-9-86/Control  No.:AX600861/Oue Date:6-10-86
        38 2 — 4651

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                                                    9502.1986(13)
August 22, 1986

MEMORANDUM
SUBJECT:  Applicability of Regulations on Financial Assurance for
          Corrective Action

FROM:     Deborah L. Wolpe

TO:       Gary Gosbee, Region I


     You have asked for an interpretation of the applicability of
the financial assurance for corrective action requirement to both
regulated units and other solid waste management units.  The July
15, 1985, final codification rule contained two references to the
financial assurance for corrective action.  Section 264.101
entitled "Corrective Action for solid waste management units"
states that permits shall contain "...assurance of financial
responsibility for completing such corrective action."  Section
264.90(a)(2) entitled "Applicability", states that "...The
financial responsibility requirements of §264.101 apply to
regulated units."  Your question appears to be whether
§264.90(a)(2) supersedes §264.l01(b), so that financial assurance
only applies to regulated units.

     As you know, regulated units are a subset of solid waste
management units (see 50 Fed. Reg. 28702, 28714, July 15, 1985).
Our interpretation is that the statement on financial assurance
in §264.90(a)(2) is not necessary, but is there as a reminder
that regulated units are subject to the requirement in §264.101.
Ordinarily, an owner or operator of a facility with only
regulated units complies with the requirements of §264.100, not
264.101, and therefore might miss the financial assurance
requirement, which is only in §264.101.  Financial assurance
applies to all solid waste management units, including regulated
units.
        This has been retyped from the original document.

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              UNITED SFATtS SNVIRONA4ENTAL PROTECTION AGENCY
                                                          9502.1986(14)
                            AUG 2 2  1986
Mr. Carl Schafer, Jr.
Deputy Assistant Secretary
  of Defence, (Bnvironaent)
Department of Defence
The Pentagon, Room 3D833
Washington, D.C.  20301

Dear Mr. Schafer:

     I would like co bring eo your attention an Issue that oay
frustrate our mutual efforts co clean up hazardous waste contamina-
tion.  On November 8, 1985. Che Cannon Air Force Base submitted a
Part B permit application co Region VI.  The application addressed
one surface impoundment, one container storage area, one landfill,
and one open-burning treatment area.  The Pare B application
contained no information on the 41 sices addressed by the CAFB
Installation Restoration Program.  On April 30. 1986, Region VI
requested information on che solid waste management units that
were not identified In che Pare B application.  CAFB responded to
EPA's request with che following language:

          We have omitted these sices and units with che
          underscanding that che Environmental Protection
          Agency agreed ac che Uashlngcon level chat che
          IRP will continue Co function as a DOD program
          chac is noc regulated under RCRA and che 1984
          Amendments.  We underscood chis agreeaenc was
          based on recognicion ehac clean up of DOD sices
          should be baaed on nacional prloricles racher
          Chan regional or local ones.  If Che IRP is
          subjecc Co regulaclon by che EPA regions,
          nacional priorities vill be lose.  V* have not
          b««n nociflad by Air Force authorleiea of any
          change in this underscanding.  Theretore, we did
          net include In our Part B application any site or
          unit addressed in che IIP.

     CAFB scates that RCRA and the 1984 Amendments do not apply
co DOD's IIP.  Mm are concerned chac CAPl's poalcion represencs
the official position of Che Air Force,  for example. Offutt AFB
baa Intoned another EPA Rational Of flea chat tha Base  is not
required co sign a schedule of compliance under Section 3004(u)
of RCRA until EPA issues a final rule on nacional priorities  for
correccive acclon.

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                                -2-


      Ic appears chat  the Air Force hat misinterpreted our
rulemaklng efforco on corrective action ac Federal facilities.
Ic  ia  EPATa petition  chat Section 3004(u) appllea co Federal
facilitiea.  Furthermore, we ahall continue to call for permit
applications and  eo laaue RCRA permit* to Federal facilitiea.
Our permitting program  la not delayed or postponed pending our
rulemaking OB prloritiea for corrective action at Federal faci-
lities.  We reiterated  our position on thla Issue In a March 5,
1986, Notice published  In Che Federal leglater, which clearly
atatad that, "In  the  Interim [while marking co reaolve national
priority and principal  owner lasuesj, KPA and the atatea will
proceed Co review and issue 1OLA permits, and EPA will Implement
3004(u) requirements  at federal facilitiea."

     Because our  permitting program cannot wait for a final role
on national priorities, we encourage you Co begin aettlng priorities
for corrective action under Section 3004(u) of RCRA.  Your priorities
can be uaed as a  factor during permit negotiations, and schedules of
compliance under  Section 3004(u) can reflect the relative priority
of your facilitiea.

     If the Air Force has misinterpreted our position on Section
3004(u), I would  appreciate your clarifying to them their obli-
gationa under RCRA.   I  am confident that our offices can avoid
misunderatandinga during future permit negotiations if we maintain
a common understanding  of RCRA.  Please let me know the outcome
of any discussions on this matter you may have with the Air Force.

                           Sincerely youra,


                            /a/ jaj* &.
                              Winston Porter
                           Aaalatent Admlnlatrator

cc:  Warren Hull
     Michael Heeb
     Jin Crulckahaak

bcc: HazardoQ* ttaate Division Directors & Branch  Chiefs,
      Regions -I-X

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                                                     9502.1986(15)
       :  regulatory Status of *ood Treatment Cylinder
          Creosote Sumps

FROM:     'iarci.-x Williams, Director
          Office of Solid
7C:       Patrick :•.. Tobin, Director
          Waste Management Division, Fegion IV

     Your memorandum of July 9 requests a determination of
the PCPA regulatory status of underground sunns which collect
waste creosote from production pipelines and treatment cylin-
ders at wood treatment facilities.  Based on our understanding
of the case presented, and after discussions vith >our staff,
we offer the following guidance.

     As we understand thd sump described in /our reno, ic is
routinely used to collect drippage, leakage, or other spillage
of creosote from wood treatoent cylinders and associated
piping, and the rmterial is not collected for recycling.  The
creosote appears to qualify as a solid waste as uefined in sec-
tion 261.2(a)(2) as, anong other things, any nuterial which
is Discarded oy being abandoned.  Section 261.2(u)(J) defines
abandoned raterial as that b«ing accumulated, stored, cr
treated (but net recycled) bafore or in lieu of beinc,- disused
of, burned or incinerated.  Since the creosote is not
a hazardous v««t<*, the sump would not ce a unit raquiriiig
interim status or a nerrdt.

     From the description provided  in your memorandum, it
appears that the sump in question is a discernible  unit
(presumably a tank) in which solid wastes have been ranaged.
Aa such, the sunp would be considered a solid veste management
unit (SV:?IU) for purposes of implementing corrective action
under P.CRA 530^4(u)"or $30C8(h).  (See tha discussion of SW.'.Us
at 50 FR 29712, July 15, 1985.)

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                             -2-
     Please be aware, if you are not already, that the Agency is
currently developing a proposed regulation (expected to be
published in the Pederal Register in the spring of 1987) which
may list as hasardous wastes certain wood preservation and
treatment wastes.  Such a  listing may affect the regulatory
status of the sump in question.  (Por additional information
contact Dr. Gate Jenkins at PTS 382-4786.)  In addition, you may
also wish to review a draft memorandum entitled "RCXA Regulatory
Interpretation Assistance  Request - Cleanup of Residues of
Commercial Chemical Products Within a Warehouse Storage Area,"
which was circulated to the Regions for review on June 3, and
which deals with issues related to those posed in your memorandum.

     The recent decision by Judge Tost in In re Brown Wood
Preservinc Co., Inc. <*CJu\-84-lC-R) does not require IPA to
publish this memorandum.   That decision takes the position
that th<» Administrative Procedure Act requires the Agency to
publish policy memoranda and interpretive statements that set
out new rules or substantially modify existing rules.  This
memorandum merely offers an opinion as to whether the facts you
have outlined for this facility fit the existing definitions of
•solid waste," "hasardous  waste," and "solid waste management
units."  It does not establish a general policy of treating all
process sumps at wood preserving facilities as "solid waste
management units."  Hor does it create or change any other
rule or policy.

     I appreciate that we  need to be careful to go through
notice and comment on decisions that might be interpreted as
expanding regulatory controls beyond what is evident from
existing rules or statutory language.  Por example, if we list
certain wood preservation  wastes we may want to discuss  in the
federal Register tDie regulatory status of areas in which en-
vironatental releases from  treated wood are routine and expected.

     However, publishing statements of general policy would
not solve the entire problem presented in the Brown case. The
Regions also need to ensure that the facts of each case  show a
violation of the statute or regulations.  Complicated scientific
or technical issues may require you to use experts to present or
explain the evidence.

     Applying these  ideas  to the facility described  in your memo-
randum, to regulate  the sump as a SWMO you would  have to collect
facts demonstrating, for example, that the creosote  in the sumps

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                             -3-
was in fact "discarded," and that the suirp  is  a "discrete" unit,
This nenorandum cannot substitute for fim  factual  evidence
concerning the specific facility at issue.

     If you have additional questions,  please  contact
V.ichele Anders at FT3 362-4534.

cc:  Gene Lucero, CWPE

Attach;-nent

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              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                                                    I     9502.1986(16)
                                                 Stir
MEMORANDUM


SUBJECT:  Open Burning/Open Detonation at DOD Facilities

FROM:     Bruce R. Weddle, Director
          Permits and State Programs  Branch  (WH-563)
          Office of Solid Waste

TO:       Gary B. Gosbee, Chief
          MA Waste Regulation  Section
          EPA Region I


     This memo responds to your  September 8, 1986 memo about
EPA's definition of SWMU's at  DOD facilities.  Your memo outlined
EPA's regulation of open burning/open detonation  (ob/od) areas,
and you explained how this applies to the Fort Devens facility.

     I agree with your interpretation of the ob/od issue, and
it appears from your description of the  units at Fort Devens
that your interpretation of SWMU's is consistent with our under-
standing of the ob/od issue.   RCRA applies to discreet areas
where DOD performs ob/od for disposal purposes.   RCRA does  not
apply to "training areas" or "impact  ranges" as long as these
areas are not used for disposal  purposes.  If however, DOD  used
a. training area or Impact range  for disposal purposes, then
these areas might be subject to  RCRA.

     In the near future EPA will propose new regulations under
Subpart X of 40 CFR Part 264.  The proposed  regulations in
Subpart X address the ob/od issue. Because  you have practical
experience in this area I encourage you  to comnent on the new
regulation* when they are proposed in the Federal Register.
                                                            •w.s. on

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                              - 2 -
Paul Connor (FTS 475-7066) is the contact on this issue in my
Division and Ossi Meyn (FTS 382-4654) is the point of contact
on the new Subpart X regulations.  Thank you for keeping me
informed on this issue.

cc:  Dave Pagan
     Ossi Meyn
     George Garland
     Jim Michael
     Andrea O'brien
     Gwen Ruta
     Craig Johnston
     Tina Kaneen
     Lee Herwig
     Warren Hull
     Matt Hale

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                                                    9502.1986(17)
September 29, 1986


Captain Michael Carricato
Deputy Assistant Secretary
  of Defense  (Environment)
Room 3D833
The Pentagon
Washington, D.C.  20301-8000

Subject:  Summary of the September 17, 1986 Meeting

Dear Captain Carricato:

     Thank you for coming here to discuss the applicability of
RCRA to DOD's installations.  I was encouraged by our meeting,
and I was pleased with our progress in identifying RCRA issues
that arise at your facilities.  This letter summarizes my
understanding of the issues we discussed at the September 17
meeting.  Please contact me if your understanding of our meeting
differs from the following.

     We discussed three issues that often arise when EPA is
preparing a RCRA permit for a DOD facility.  These issues arose
recently in two letters from DOD to EPA Region III.  The letters
addressed RCRA permits at DGSC in Richmond, and Aberdeen Proving
Ground.  We are anxious to resolve these issues and I hope that
our recent discussions more accurately reflect DOD policy than do
the two letters.  The three issues are:

     1.   Will EPA's RCRA permits incorporate the IRP cleanup
          schedule for "IRP units"?

     2.   Does EPA's RCRA program have oversight over the IRP?

     3.   Does RCRA apply to "non-IRP units"?

     We agreed that EPA's schedule of compliance under §3004(u)
could incorporate, to the extent practicable, the IRP cleanup
schedule.  We further agreed that EPA's RCRA program included
oversight over the IRP cleanup when included in the permit.
Finally, we agreed to further discuss the applicability of RCRA
to "non-IRP units."
        This has been retyped from the original document.

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                               -2-

     We discussed EPA's definition of "facility."  I reiterated
EPA's position that is discussed in the March 5,  1986 FR Notice.
We agreed that if DOD wishes to pursue this issue,  you will
discuss this with me, and I will schedule a meeting with Marcia
Williams, if necessary.

     We agreed on the need for policy development between our
offices and for dispute resolution procedures.   I suggested two
possible mechanisms:

     •    a headquarters-level task force that would meet
regularly to discuss issues and resolve policy questions for DOD
facilities;

     •    a process for resolving disputes between DOD and
authorized States or EPA Regional offices.  We agreed to address
these proposals in more detail during subsequent meetings between
our two offices.

     I mentioned a meeting between our two Offices of General
Counsel on the issue of DLA ownership.  You agreed to look into
ways of expediting the transfer of information to us about DLA's
property management authority.  This information will assist our
General Counsel's office in resolving this issue.

     We will contact you shortly to set up another meeting.
Please let me know if you have anything to add to this summary.

                         Sincerely yours,
                         Bruce R. Weddle, Director
                         Permits and State Programs Division
                         Office of Solid Waste
cc:  Paul Connor
     Mike Heeb
     Warren Hull
     Marcia Williams
        This has been retyped from the original document.

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                                                                9502.1986(18)
            RCRA/SUPERFUND HOTLINE MONTHLY SUMMARY

                            SEPTEMBER 86
5.  RCRA Enforcement

    When can the $3008(h) authority be used?  How can a $3013 orter
    support the S3008(h) action?

         The Hazardous and Solid Waste Amendments of 1984 (HSWA) added S3008(h),
         one of the corrective action authorities, to the Solid Waste Disposal
         Act.  Section 3008(h) allows the Agency to require corrective action or
         any other response necessary to protect human health or the environment
         when a release of hazardous waste is identified at an interim status
         hazardous waste treatment, storage or disposal facility.

         Section 3008(h) provides:  "Whenever on the basis of any information
         the Administrator determines that there is or has been a release of
         hazardous waste into the environment...".  Appropriate information can
         be obtained from a variety of sources, including data froti laboratory
         analyses of soil, air, surface water or ground water samples, observa-
         tions recorded during inspections, photographs, and facts obtained fron
         facility records.

         Actual sampling data is not necessary to show a release.  Other evidence
         that a release has occurred might be a broken dike at a surface impound-
         ment discovered by an inspector.  Less obvious indications of a release
         might also be adequate to make the determination.  For example, the
         Agency could have sufficient information on the contents of a land
         disposal unit, the design and operating characteristics of the unit,and
         the hydrogeology of the area in which the unit is located to conclude
         that there has probably been a release to groundwater.  The Agency
         could then order the owner or operator to perform an investigation to
         confirm the presence of contamination, and, after confirmation, to
         undertake corrective action.
          However, to exercise the interim status corrective action authority,
          the Agency must first have information that there is or has been a
          release at the facility.  Additional sources that may  provide  infor-
          mation on releases  include: Inspection re ports, RCRA Part A and Part B
          permit applications, .responses to RCRA $3007 information requests,
          information obtained through RCRA $3013 orders, notifications  required
          by CERCLA $103, information gathering activities conducted under CERCLA
          $104, and informants1 tips or citizens' complaints corroborated by
          supporting information.

          A $3013 order may be used in sane instances  in which EPA does not  have
          adequate information that there is or has been a release.  Section 3013
          provides that the Agency may compel monitoring, testing and  analysis if
          the  presence  of hazardous waste at a facility or site at which hazardous
          waste has been treated, stored or disposed of may  present a substantial
          hazard to human health or the environment.

          Source:    Ginny Steiner  (202) 475-9329
          Research:  Caroline Danek

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                                           9502.1986(19)
*CTO RANDOM


SUBJECT:  Headguarters Support for Corrective Action
          Technology

PHDK:     Bruce 8. weddle. Director
          Permits and State Programs Division

TO;       RCRA Branch Chiefs, Regions I-X


     The corrective action authorities of RCXA provide one of
the Agency's most effective tools for assuring the clean-up of
releases at haiardous waste management facilities.  Because of
this, we are committed to providing you with continuing technical
assistance on corrective action.  This suaver the Land Disposal
Perait Assistance Teas (PAT) had a PhD candidate In goology
working full tine investigating case studies of corrective action
technologies.  He focua«d on the clean-up of ground water, soil,
and surface water.  The results of his efforts verei  (1) the
creation of a corrective action computer database; (2) biweekly
technical sessions for OSWER staff; (3) a serinar for non-technical
management and staff; and (4) a list of suggested publications
for a base library on corrective action.
     Sam* of the results of these efforts are available for your
use right now, while other projects are in the planning staae.
The computer database is now available to help your stsff analyse
corrective action proposals which are submitted by owner/operators.
It contains over 200 entries, which are suasiaries of journal
articles and fcPA publications on corrective action technologies
which have been demonstrated in the field or in bench scale
projects.  The system is designed around a list of key words,
which Is attached (aloog with an example of a data output).  We
dlr«ct th« computer to search for and locate entries that contain
key words im which you are interested.  Por example, you may
be interested in cleanup experience with specific chemicals
(e.g.* PCBs, TCI), or using specific technologies (e.g., air
stripping* in situ biological treatment).  When the computer
finds entries which contain those key words* it will print out a
citation and abstract of the appropriate article(s).  If the
abstract seems relevant, the entire article can then be examined
in your library.

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                              - 2 -


     Her* detail!) will be given to your staff when they call in
with » raqu««t.  At tha presant the data base ia accessed by
calling Janette nansen (FTS 382-4734) or Dave Cberly (FTS 312-4691)
with your revueste.  After we gat a computer with a modem, you
will be abla to diractly acceaa th« databaaa with a Regional PC
through a modem.  Ma will aand out datailcd instruction on how
to do thia whan the ayatem la aat up.  Tha databaaa will ba
updated on a regular baaia.
     Thia Bummer's aapinar on corrective action technologies waa
wall received.  I have attached a copy of the handout from the
seminar, which I believe will ba useful to you, even without
having attended the aeminar.

     Aa waa mentioned above/ a liat of auggaated raferencea on
corrective action waa compiled during the creation of the databaae.
I have attached that liat in hopea that your office will ba abla
to provide your ataff with copies of each publication.  Tha aourcaa
of the publicationa are also attached.

     In the future, we plan to aat up a corrective action computer
bulletin board for ataff to communicate between Regions.  For
example, if a ataff member in one Region would like to know if
anyone elaa has encountered a situation similar to ona which
they have met, they can put up a 'note* on tha bulletin board.
Staff froai other Regions can view tha bulletin board and contact
tha person who had tha guaation.  This can help to improve
communication between the Regions on issues of common intareat.
we will alao consider the need for other information sharing
mechanisms (e.g., conference calls, workshops) as we all develop
experience in this area.

     Finally, we hope that you will help us to share intereatino
corrective action proposals throughout the Regiona and States.
when you receive a proposal which could be of some interest to
others, please contact Dave Bberly or Janette Ransen (numbers
listed above).  They will work with you to decide the beat way
to diaseminata the information.  If you think of other waya
in which we can help, please contact Tarry Crogan of the Land
Disposal PAT (FTS 382-4740).

Attachments

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ce:  Hlnstoe Porter
     «arcl« Hill law
     Gene Luevro
     Henry Loag«ct
     Jack L«tm«n
     Permit Section Chiaft,  R«clon«  I-X
     RFA Contacts, Regions I-X
     Sue Moreland, AST8WMO
     Ren Shuster
     Matt Hale
     Terry Grocan
     Dave Pagan
     Art Day
     Don Sannlncj,  ORD

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                                          9502.1986(20)
    DEC   8 1986


MEMORANDUM

SUBJECT:  The Department of D«fcnat Installation
          Restoration Program

FPOM:     Marcla E. Wllllaaa, Director
          Office of Solid Waste

TO:       Waste Management Division Directors
          Regions 1 - X


     This aeaorsndun discusses RCRA permits at facilities owned
or operated by the Department of Defense (DOD).  DOD has developed
the Installation Restoration Propran (IRP) Co identify and clean
up hatardous waste sites.  Under the IRP. DOD prepares studies
and generates data chat can aaaist EPA in drafting iCRA permits.

     The IRP is carried out in stages that are cooparable to the
stages of a cleanup required by RCRA.  Phase I of Che IRP is
intended to identify waate sites and is comparable Co a RCRA
Facility Assessffl«nt.  A Phase I report should identify most, if
not all, of the dolid waste management units at a DOD facility.
Phase II of the IRP characterizes Che nature and extent of con-
tamination at a nice or unit.  Phase II usually provides site
characterisation infornaiton and Monitoring data and Is comparable
to a RCRA Facility Investigation.  Phase III of the IRP la an R&D
phase that la used where a site cannoc be concrolled with proven
technology or where a site is auitable for evaluaclng new each-
nologiea.  Although che permitting process has no R&D stage,
J-haae III of che IRP can be helpful in idencifying new or unique
correeclve measures.  Phase IV of the IRP develops and implements
a reaedial action plan.  Phase IV la comparable co identifying
and implementing corrective measures under RCRA*

     EPA has placed a high priority on RCRA compliance at Federal
facllicies.  The work performed under che IRP will provide you
with much of Che Information you need Co prepare a permit, and
I urge you Co incoporate the IR? proeeaa into che permit develop-
ment process.  This meana that you need Co work with che DOD
installation in reviewing Che reaulcs of each phase of che  IRP
proeeaa and when necessary. expand che scope of the IRP to  include
all solid waste management unlta ac the facllltv.

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                              - 2 -
     Please keep in Bind that we are developing a rule that vlll
recognize priorities for corrective action at Federal facilities.
After we promulgate the rule ve will Incorporate a facility's
priority into the schedule of compliance under I3004(u) of RCRA.
Until we prepare a final rule, peralts should recognise that DOO
can not address releases fron every solid vasta •anageotent unit
at every facility siaultaneously.

     In aura, I ur«e you to use the IRP process when you Implenent
the RCkA corrective action authorities under I3004(u).  Thank you
for your attention to this vattar.

cc:  RCRA Branch Chiefs
     Regions I - X

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                                                                 9502.1987(01)
              ICRA/SUPERFUND  HOTLINE  MONTHLY SUMMARY



                             JANUARY 87
3.   Corrective Action - Sinoa,N




                       facility  subject to i
                                          ^
The authority to enforce corrective action measures at an

interim status facility is not necessarily SS^Tct«S



^c^e^^cL^96"*0' ^ dt ^ faCility in
                      uruts ray rernain in ^terim statu
                                        rernain in ^terim status.
                           facility haa ^^ained interim status  it ia

                           to " enforcenent action

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^ _
               UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                           WASHINGTON. D.C. 20460

                                                    9502.1987(02)
                                                           OFFICE OF
         3t  ,-_.,                                     SOLID WASTE AND EMERGENCY RESPONSE
   ,,..,   I  1987

    MEMORANDUM

    SUBJECT:  Region III Issues on Section 3004(u) Authority

    FROM:     Marcia E. Williams, Director
              Office of Solid Waste

    TO:       Robert L. Allen, Chief
              Waste Management Branch, Region III


         This memorandum is intended to respond to your memorandum of
    February 5,  1987,  in which you raised several issues relating to
    the extent  and nature of the corrective action authority under
    RCRA section 3004(u).

         The first issue that you raised dealt with whether or not
    property that is owned and used by an owner/operator for waste
    disposal, but which is not contiguous to the facility at which the
    regulated hazardous waste management units are located, can be
    considered  to be part of that facility, for purposes of implementing
    corrective  action under §3004(u).  As explained in the July 15,
    1985 codification rule, the term "facility" is meant to extend to
    all contiguous property under the control of the owner/operator.
    Since the property which you describe is separated from the facility
    property by land that is not under the control of the owner or
    operator, it cannot be considered "contiguous," and therefore cannot
    be addressed as part of the facility under §3004(u).  Since this
    property is being used for waste disposal, however, enforcement
    authorities under RCRA(e.g. §7003) or other statutes may be used as
    appropriate to address environmental problems that may be occurring
    from that waste management operation.

         The second issue which you raised involves process collection
    sewers, and whether they can be considered- to be solid waste
    management  units (SWMUs).   Process collection sewers are typically
    designed and operated as a system of piping into which wastes and
    waste waters from production processes and other process-related
    activities  are introduced, and which usually flow to a wastewater
    treatment system.   We believe that there may be sound policy and
    legal reasons for considering process collection sewers to be
    SWMUs.   However,  we also recognize that such sewers do not per-
    fectly fit  the RCRA program's traditional concept of a waste
    management  unit..  Considering the substantial potential impacts

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                                -  2  -


of defining process  collection  sewers  to be a  type of SWMU, it is
our  intention  to  resolve  this  issue through the  regulatory process.
The  comprehensive  §3004(u)  rulemaking, which is  scheduled for pro-
posal  later this  calendar year, will specifically address the
question of how to treat  process  collection sewers under the cor-
rective action program.   We will  therefore be  able to base the
Agency's final decision on a more thorough consideration of the
technical, legal  and other  implications of the issue.

     The third issue in your memorandum deals with the question of
the  extent to which  the §3004(u) authority can be used to address
potential or future  releases at a facility.  It has been the Agency's
interpretation that  the §3004(u) authority does extend to addressing
releases which occur in the future? i.e., after a permit has been
issued.  To the extent that releases occur or become known after a
permit is issued, corrective action for such releases can be
compelled, as  necessary,  under  §3004(u).  Further, in some situations,
it may be appropriate to  use §3004(u)  to require an owner/operator
to install certain monitoring devices  at a unit,  even though no
releases have yet occurred from the unit.  Such a requirement should
be imposed, however, only where there  is reasonably strong evidence
indicating that such releases are likely during the term of the
permit.  The example that you cited in your memorandum involving
buried drums that are deteriorating and thus are likely to release
would seem to be a good example of the type of situation where a
type of "detection monitoring" system  could be appropriate.
We do not envision, however, using the §3004(u) authority to
require owner/operators to install devices or take measures to
protect against accidental releases (such as your example of
installing steel posts around a container storage area).  We do not
believe that Congress intended this provision to be used to protect
against all contingencies where releases could occur.

     Your fourth question had to do with the applicability of
§3004(u) to new facilities that are to be built on property where
solid waste management units are located, and more specifically,
where only a portion of the facility is to be leased to a new
operator.  As explained in the July 15, 1985 codification rule,  the
facility is the entire property under  the control of the owner or
operator.  Therefore, in  issuing a permit for the new facility,
corrective action for any SWMU at the  facility—including the
unleased portion—must be addressed.   The requirement to conduct
any necessary corrective action at the facility,  be it on the
leased or unleased land, will be implemented through a permit
jointly issued to the owner and operator.

     If you have any further questions on these issues,  please
contact Dave Pagan at FTS 382-4740.

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                                                    9502.1987(03)
March 6, 1987

Gary D. Vest, Deputy
  for Environment, Safety, and Occupational Health
Deputy Assistant Secretary of the Air Force
  (Installations, Environment, and Safety)
Department of the Air Force
Washington, D.C.  20330-1000

Dear Mr. Vest:

     Thank you for your letter of December 24, 1986 concerning
the inventory of Federal facilities compiled pursuant to Section
3016 of the Resource Conservation and Recovery Act (RCRA).  We
appreciate your efforts in submitting a timely inventory to EPA
and we look forward to working with you when we prepare for the
next inventory that is due January 31, 1988.

     In your letter you raised several concerns about the
inventory.  One concern is the need for more time to complete the
next inventory.  We agree that Federal agencies need more time to
compile their inventories, and we intend to distribute the
questionnaires for the 1988 inventory well in advance of the
January 31 deadline.  Our target date for distributing the 1988
inventory questionnaires is June 1987.  This date will give you
six months to complete your next inventory.

     Another concern in your letter is the need for more accurate
instructions.  Please be aware that we are revising both the
questionnaire and the instructions.  When we have prepared drafts
of these documents we will distribute them to the Federal
agencies for comment.  The drafts will be distributed through
EPA's Federal Roundtable which meets monthly and is sponsored by
EPA's Office of Federal Activities.  Your representative on the
Federal Roundtable will receive the draft questionnaire and
instructions for comment.

     Your letter also asked about the applicability of RCRA to
releases that are being investigated under CERCLA.  Before Congress
amended RCRA in 1984, RCRA's corrective action authorities applied
only to landfills, surface impoundments, waste piles, and land
treatment areas that received hazardous waste after January 26, 1983,
However, the 1984 amendments greatly expanded EPA's authority under
RCRA to include past hazardous waste management practices at RCRA
        This has been retyped from the original document.

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                                 -2-

facilities.  Section 3004(u) of RCRA states that every RCRA permit
issued after November 8, 1984 shall require "... corrective action
for all releases of hazardous waste or constituents from any solid
waste management unit .  . .   regardless of the time at which waste
was placed in such unit" (emphasis added).  Therefore, RCRA permits
must address corrective action for releases from any inactive, closed
inactive, closed or abandoned units at the facility.  For those Air
Force installations that must obtain a RCRA permit it is likely that
the IRP sites at the installation qualify as solid waste management
units and must, therefore,  be addressed in a RCRA permit.  Under
RCRA's corrective action authorities.

     Many of your IRP sites that are subject to RCRA's corrective
action authorities are also subject to CERCLA, as amended by the
Superfund Amendments and Reauthorization Act of 1986 (SARA).  Section
120 of SARA requires EPA to ensure that a preliminary assessment (PA)
is performed before April 1988 for every site identified in the
"Federal Agency Hazardous Waste Compliance Docket."  Where the PA
indicates that the site should be evaluated under EPA's Hazard
Ranking System (HRS), EPA has until April 1989 to finish listing the
site on the National Priorities List (NPL).  Within six months after
a site is placed on the NPL the Federal owner/operator must begin a
remedial investigation/feasibility study (RI/FS).  The statute
further provides that EPA and the appropriate State shall publish a
timetable for the "expeditious completion" of the RI/FS.  Within 180
days of the completion of the RI/FS, EPA and the Federal owner/
operator must enter into an interagency agreement (IAG) for the
"expeditious completion" of all necessary remedial actions.

     For those IRP sites that are subject to both RCRA and CERCLA,
the requirements of both programs must be satisfied in full.
However, it is possible that the work performed under one program
would satisfy the requirements of the other program.  Although EPA
has not fully developed guidelines for implementing both programs at
a single facility, EPA will employ the authority or combination of
authorities that best resolve the waste management issues at your
installations.

     The decision as to which program or programs will be used at
your installations should have little or no impact on the ability of
the IR program to clean up your hazardous waste sites.  The cleanup
standards for RCRA and CERCLA are, except for minor exceptions, the
same.  The procedures for cleaning up waste sites under RCRA are
comparable to the procedures under CERCLA.  Furthermore, given the
expanded role for States under SARA, the degree of State involvement
in both programs is similar.  As EPA progresses in developing rules
and guidances for the RCRA Corrective Action Program, we are striving
to assure consistency between RCRA and CERCLA.
        This has been retyped from the original document.

-------
                                 -3-

     This letter provides only a briaf summary of how RCRA and CERCLA
may be implemented at your installations.  However, we are preparing
a guidance document that describes these issues in greater detail,
and we will distribute this document when completed.

     The final question in your letter concerns our list of potential
RCRA violators.  We compiled this list of facilities from information
submitted to us as part of the inventory.  We placed a facility on
the list if the inventory indicated that it operated a RCRA unit, but
had not submitted a Part A application, a Part B Application, or a
closure plan.

     As you requested, we examined your inventory responses for the
12 Air Force sites on our list of potential RCRA violators.  The
following explanation accounts for each site:

          The two sites at Wright-Patterson AFB, Zone 4 and
          Zone 5, are on the list because the inventory
          indicated that the installation has an operating
          waste pile, but had not submitted a Part A
          application.

          We placed the Municipal Airport for the Arkansas
          National Guard on the list because the inventory
          indicated that the airport operates storage and
          treatment tanks but had not submitted a Part A
          application.

          The underground tank at Vance AFB is on the list
          because the inventory indicated that the tank is
          an operating storage tank but had not submitted a
          Part A application.

          We placed three sites at Dover AFB on the list
          because the inventory indicated that each site
          has an operating RCRA unit, but had not submitted
          a Part A application.

          Finally, there are four sites which we have
          determined should not be on the list of potential
          RCRA violators.  The four sites are "Building 219
          [   ]" and "Landfill 1" at Griffiss AFB, the
          "Site D-4 Landfill" at Kelly AFB, and the DRMO
          Storage facility at Plattsburgh AFB.  The
          questionnaires for these sites were filled out
          correctly.  However, when we entered the
          information from the questionnaires into our
          database, we mistakenly indicated that these
        This has been retyped from  the original document.

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                                 -4-

          sites had operating RCRA units which had not
          submitted the required information.  We will
          forward this information to the appropriate EPA
          Regional Office.

     Again, thank you for your letter concerning the Federal
Facilities Inventory.  We urge the Air Force to participate in the
process of revising the inventory questionnaire and instructions.  We
hope that through our mutual efforts and cooperation we are able to
produce a thorough and accurate inventory of Federal facilities.  For
more information about the inventory, please contact Paul Connor, at
475-7066.

                              Sincerely yours,
                              Marcia E. Williams
                              Director
                              Office of Solid Waste
                              Gene A. Lucero
                              Director
                              Office of Waste Programs Enforcement
cc:  Lee Berwig, OPA
        This has been retyped from the original document.

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              UHll cu 11 A i ci cfi'iKUHMtNTAL PROTECTION AGENCY


                                                               . 1987(04)
   MIR 13(987
r :':._! .-XT :   Irtcri:.  rir.al  i'C.^A  "r r r*ect i vc. Ac tier. L-iu.-> (Cr-.T)

.'Fo.'-:      '.-ircij :." . hiliiar.s.  ri rector  , •£/
           C trice of ".^iid  ..'astt

TO:        Jaaes K. Scari/rcuch, chief
           Pesicuals V^nanenent branch,  Pegion IV


     In your January 20,  1987, aeno to me, you expressed various
concerns about the contents and  use of the CAP,  including the
application of protection  standards.

     I agree that we need  coaprehensive guidance to implement the
RCRA corrective action program.   The Office of Solid Waste recently
completed  the options selection  process for $3004(u) corrective
acticn, which resolved several outstanding issues necessary for
development of regulations.   In  the next several months, we will
be issuing guidance to implement  these decisions.  Such guidance
will address the four key  issues  identified in your memorandum,
with special emphasis on  setting  clean-up target levels for all
media.  The CAP and the RFI Guidance will be revised accordingly
to reflect the resolution  of  these issue* and field experience
in using these documents.  The next draft of the RFI Guidance,
which will be distributed  for Agency comment in April 1987, will
address these issues in a  new section on RCRA Health and
Environmental Assessments.

     Your  memorandum also  addresses whether the RCRA guidance
should reference the Super fund Public Health Evaluation Manual
(SPHZM).   We have examined this  document and believe that it
contains a goo* deal of useful  information for evaluating impacts
to public health.  We are  using  the SPHEM in developing the RFI
Guidance section on performing RCRA Health and Environmental
Assessments.  The SPH1M will  serve as a useful technical reference
for the RCRA corrective action program.  For instance, the SPHEM
provides detailed guidance on hew to assess health impacts at
known points of exposure.  However, the elements of the SPHEM that
deal with  determining the location of potential exposure points
address an Issue that has  not yet been fully resolved for RCRA

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                              - 2 -
 corrective  action.  As you know, corrective action decisions may
 be  based  on the presumption that potential exposure can occur
 anywhere  up to the waste management unit.  In addition, the SPHEh
 directs the use of maximum contaminant levels (MCLa) when determi-
 ning  human  health impacts.  The use of MCLs versus other
 health-based standards (e.g., reference doses) has not yet been
 resolved  in the RCRA corrective action rule development process.

     You also expressed concern over the technical framework of the
 CAP, including corrective measure alternative selection and labora-
 tory and bench scale studies.  I believe that the CAP provides the
 flexibility to alleviate these concerns.  The existing technical
 framework of the CAP affords a flexible approach to determining the
 number of corrective measure alternatives after the need for correc-
 tive measures has been established.  That is, the number (i.e., one
 or more) of alternatives to be submitted by a RCRA facility can be
 determined  by the Regional Office on a facility-specific basis (see
 CAP, page 4).  This approach on alternative selection was clarified
 on February 3, 1987, at a meeting between OSW staff and several of
 your staff  in Atlanta.

     The CAP also affords flexibility in the application of
 laboratory  and bench scale studies.  As stated on page 2 of the
 CAP, the scopes of work in the CAP are examples and could be
 modified,  enhanced, or sections deleted based on site-specific
 situations.   Therefore, at your discretion, laboratory and bench
 scale studies may not be required for a specific facility or such
 studies may be shifted to the Corrective Measures Study part of
 the corrective action process.  Overall, the CAP should serve as
 a reference for Regional Offices to prepare permit and enforcement
 order conditions,  not as a prescription to be followed in every
 case.

     If you or your staff wish to discuss the above matters further,
please contact Art Day (382-4658) or George Dixon (382-4494) of the
Land Disposal Branch or Matt Hale, Chief of the Permits Branch
 (382-4740).

cc:   Gene Lucero
     Joe Carra
     Bob Tonetti
     Matt Hale
     Art Day
     Dave Pagan
     George Dixon
     George Faison

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                                                        9502.1987(05)
April 2, 1987
MEMORANDUM
SUBJECT:  Interpretations of RCRA Applicability to Releases of
          Hazardous Waste

FROM:     Marcia E. Williams, Director
          Office of Solid Waste (WH-562)

          Gene A. Lucero, Director
          Office of Waste Programs Enforcement (WH-527)

TO:       Kenneth D. Feigner, Chief
          Waste Management Branch, Region X

     This memorandum responds to your memoranda of December 25, 1986
and January 20, 1987, in which you raised several issues regarding
applicability of RCRA corrective action authorities, and the
implications of termination of interim status by authorized States in
regard to implementing §3004(u) corrective action.

     The first general concern which you raised relates to the
applicability of RCRA to releases from less-than-90-day accumulation
units.  The Hotline report that you cited and which stated that such
releases "are not generally covered by RCRA regulations," requires
clarification.  It is clearly possible to address releases from less-
than-90-day accumulation units by using the imminent and substantial
endangerment authorities of RCRA §7003 or CERCLA §106.  The
alternative theory which you suggest presents a number of policy and
legal issues which we believe merit further consideration.

     The other concern which you raised in your 12/29/86 memorandum
dealt with the applicability of §3004(u) to facilities which are
closing but which are not subject to post-closure permits.  You
assert that §3004(u) could be applicable to closing interim status
facilities which are not subject to post-closure permits.  This
interpretation is based on the fact that certification of closure
does not terminate interim status in the absence of a final
administrative disposition.  You suggest that until a permit is
denied, or interim status is otherwise terminated, the facility
remains "subject" to a permit and is, therefore, subject to §3004(u)
        This has been retyped from the original document.

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                                 -2-

There are several legal limitations to this approach, and the Agency
has no plans at this time to develop requirements such as those you
have suggested.

     If closure for the entire facility has been certified and is, in
fact, in compliance with 40 CFR Part 265 and no post-closure permit
is required, there should be no wastes or units at the facility which
would be subject to a RCRA permit.  If the same facility later wishes
to resume operation, the Region may request a Part B, thereby
bringing the facility into the universe subject to §3004(u)
requirements.  Absent such actions, however, §3004(u) does not apply.
Agency interpretation of the applicability of §3004(u) has
consistently been limited to facilities seeking a permit.

     While §3004(u) could be construed to mean that corrective action
can be required either by promulgation of standards or by issuing
permits, Agency interpretation, as supported by the legislative
history, has consistently been that any standards promulgated under
this Section will be standards for facilities in the process of being
permitted.  Although the corrective action standards will not be
applicable as self-implementing interim status (Part 265)  standards,
we anticipate that they will generally be applied in §3008(h)
actions.  As discussed at the Branch Chiefs' meeting in January, we
intend to include language to this effect in the preamble to the
regulation to be proposed in the Fall of 1987.

     As summarized in your 1/20/87 memorandum, there was some
discussion during the RCRA Branch Chiefs' meeting of whether EPA
could act to "preserve" interim status at a facility which is denied
a permit by an authorized state.  The discussion suggested that such
an action might be desirable for the purpose of implementing §3004(u)
corrective action, if necessary, at such facilities.

     An authorized state's denial of a base program permit is a final
administrative disposition of the permit application.  A facility's
authorization to operate pursuant to interim status terminates upon
such denial  (see §3005(e)(1)(C)).   Interim status is granted by
statute and cannot be "preserved" by EPA.  It will not, therefore, be
possible to extend interim status after a permit has been denied for
the purpose of imposing corrective action requirements.  The Agency
has taken the position, however, that §3008(h) will still apply since
the facility previously had interim status.

     We understand that the Regions were reluctant to exercise
§3008(h) authorities in the absence of administrative hearing
procedures.  Since guidance on the hearing procedures has been signed
by the Assistant Administrator for Enforcement and Compliance
Monitoring and the Assistant Administrator for Solid Waste and
        This has jbeen retyped from the original document.

-------
                                 -3-

Emergency Response and has been distributed, we assume that this is
no longer an issue.

     If you have questions concerning these interpretations, you may
contact Michele Anders (for corrective action and permitting issues)
at 382-4534, or Susan O'Keefe (for enforcement questions) at
475-9313.

cc:  RCRA Branch Chiefs,  Regions I through IX
        This has been retyped from the original document.

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                                                        9502.1987(06)
June 30, 1987

MEMORANDUM


SUBJECT:  RCRA Permits with HSWA Conditions

FROM:     Bruce Weddle, Director
          Permits & State Programs Division (WH-563)

TO:       Sam Becker, Chief
          Hazardous Waste Compliance Branch
          Region VI


     During my recent visit you raised two questions related to the
issuance of RCRA permits with HSWA provisions.  The first issue
concerned the implications of a Region issuing the HSWA provisions of
a permit before the State permit.  The other question pertained to
the status of the HSWA portion of a jointly issued permit if the
State portion is appealed.

     The Agency's policy on the timing of the State and Federal
portions of the permit has been described in detail in a OSWER
memorandum to the Regions by Jack McGraw (July 1, 1985; copy
attached).  EPA's policy is that joint RCRA permits should be issued
simultaneously by EPA and the States.  The memorandum describes
several exceptions to joint permitting that may occur if the State
has already issued the draft or final permit.   However, no
consideration was given to the Region issuing the HSWA conditions
prior to issuance of the State permit.

     Beyond the policy memo noted above, I believe it is
inappropriate to issue the HSWA portion independent of the rest of
the permit.  First and foremost, a permit is not a complete RCRA
permit unless both the State and Federal portions have been issued.
Therefore, issuing only the Federal portion of the permit would have
no practical impact.  Without a complete RCRA permit, new facilities
cannot begin construction, nor can existing facilities expand beyond
the limits allowed under interim status.  Furthermore, without the
State permit, it is likely that the HSWA corrective action
requirements could not be effectively enforced because §3004(u)
authorities are linked to issuance of the RCRA permit.
        This has been retyped from the original document.

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                                 -2-

     For many facilities, there may also be valid technical reasons
to issue the Federal and State portions simultaneously.  Certain HSWA
requirements may utilize data submitted for the baseline program
permit, e.g., HSWA corrective action conditions may require a variety
of data submitted by the facility for the State permit.  For example,
any corrective action for contaminated ground water required for
regulated units under Subpart F could directly impact ground-water
investigations required for SWMUs under HSWA.

     I also foresee a potential problem arising in public perception
if the Federal portion is issued before the State permit.  This may
lead the public to expect that corrective action investigations and
clean-up activities will be initiated, even though such conditions
could not be properly enforced as noted above.  More generally, the
public may be confused by the separation of corrective action
activities and the operating permit.  Therefore, public participation
efforts would be more effective if the State and Federal portions are
issued together.

     Your other question pertained to the impact on the HSWA
conditions of a complete RCRA permit if the State portion alone is
appealed.  If a request for review of a RCRA permit is granted all
contested permit conditions will be stayed, including any uncontested
conditions which are not severable from the conditions in dispute.
Therefore, whether or not the HSWA conditions would be stayed depends
on whether they could be properly implemented without the contested
conditions in the State permit.  In many cases, HSWA conditions will
be severable from contested portions of the State permit.  Corrective
action requirements to investigate releases from SWMUs, for example,
could presumably begin while unrelated portions of the State permit
are stayed.

     I hope I have answered your questions.  If I can be of any
further assistance, please let me know.

Attachment

cc:  Bill Honker, Region VI
     Suzanne Rudzinski
     Matt Hale
     Bob Kaysor
     Dave Fagan
     Frank McAlister
     Carrie Wehling
        This has been retyped from the original document,

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                                                        9502.1987(07)
July 24, 1987
MEMORANDUM
SUBJECT:  Definition of Solid Waste Management Unit for the
          Purpose of Corrective Action Under Section
          3004(u)

FROM:     Marcia E. Williams, Director
          Office of Solid Waste

TO:       Hazardous Waste Division Directors, Regions I-X


     The purpose of this memorandum is to provide clarification
regarding one aspect of the definition of solid waste management unit
as related to RCRA corrective action under Section 3004(u).  The
concept of a solid waste management unit has been explained in
various guidances since the passage of the 1984 Hazardous and Solid
Waste Amendments (HSWA).

     As explained in the July 15, 1985 HSWA Codification Rule, a
solid waste management unit is "...any unit at a facility from which
hazardous constituents might migrate, irrespective of whether the
units were intended for the management of solid and/or hazardous
wastes."  This definition was intended to include those types of
units which have traditionally been subject to regulatory control
under RCRA:  container storage areas, tanks, surface impoundments,
waste piles, land treatment units, landfills, incinerators,
underground injection wells and other physical, chemical and
biological treatment units.

     A memorandum from John Skinner to the Hazardous Waste Division
Directors (June 14, 1986) further interpreted the term solid waste
management unit to include areas at facilities which have become
contaminated by routine, systematic and deliberate releases of
hazardous waste or hazardous constituents.  An example of this type
of "solid waste management unit" is a wood preservative "kickback"
area, where drippage of preservative fluids onto soils from pressure-
treated wood is allowed to occur over time.  This interpretation was
reiterated in the final RCRA Facility Assessment Guidance and the
National HSWA Corrective Action Strategy of October 14, 1986.
        This has been retyped from the original document.

-------
                                 -2-

     Recently, however, several Regions have inquired whether the
term "deliberate" meant that the owner/operator had actually intended
to create the release of hazardous wastes or hazardous constituents.
We wish to clarify that the term "deliberate" in this context was not
meant to require a showing that the owner/operator knowingly caused a
release of hazardous wastes or hazardous constituents.  Rather, the
term "deliberate" was included to indicate the Agency's intention not
to exercise its Section 3004(u) authority to proceed against one-
time, accidental spills which cannot be linked to a discernible solid
waste management unit.  An example of this type of release would be
an accidental spill from a truck at a RCRA facility.  Routine and
systematic releases constitute, in effect, management of wastes; the
area at which this activity has taken place can thus reasonably be
considered a solid waste management unit.  Therefore, in implementing
corrective action under Section 3004(u), Regions and States should
consider areas which have become contaminated through routine and
systematic releases of hazardous wastes or hazardous constituents to
be solid waste management units.  It is not necessary to establish
that such releases were deliberate in nature.

     This concept, and other issues relating to the definition of
solid waste management unit, will be addressed in the proposed
rulemaking being developed for corrective action under Section
3004(u).

     If you have any questions regarding this interpretation of solid
waste management unit, please contact David Fagan at FTS 382-4497.

cc:  Regional RCRA Branch Chiefs
     Regional RCRA Permit Section Chiefs
     Gene Lucero
     Bruce Weddle
     Joe Carra
     Mark Greenwood
        This has been retyped from the original document.

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                                                         9502.1987(09)
     SEP  87
f(£I
 fiiMORANDUM

        :  Fiber Optics for In-Situ Monitoring

FROil*     narcia Williams, Director
          Office of Solid Waste (WK-562)

TOi       Erich Eretthauer, Director
          environmental Monitoring Systems Laboratory/Las Vegas

     Thank you for the report you provided recently, describing
and providing the status of fiber optics applications for in-situ
monitoring.  While we nave recently had to make some difficult
short-term priority choices, this subject remains of substantive
interest to us in OSW as a Beans of field eonitoring at waste
management facilities.

     There are several potential applications for developing and
improving advanced field monitoring techniques.  Cur future
efforts  in OSW are directed toward a continuum of control, based
upon waste-specific/site-specific interactions.  Ash monofills (a
single, consistent wast* at a site) are a cogent example, one for
which a near-term solution is needed*  In this particular
application, the contaminating constituents are, generally, lead
and cadmium.  Simplified detection of releases of constituents
such as these would perhaps enable us to define corrective action
before significant contamination problems occur.

     Another application of interest to us is in biotechnology,
where the sensor might be deployed to detect degradation products
of the bio process, or to detect "toxic" conditions prior to
undertaking in situ treatment.  Other potential applications
include the use of fiber optic sensors for detecting air emissions
(e.g., from land treatment areas) or serving as a monitor in
geologic repositories (e.g., an air sniffer in a salt dome).

     With our ever-increasing need for field monitoring at
hazardous waste sites, fiber optics technology does show promise.
We would like to see one (or more) of our applications become
part of your fiber optics research program.

cct  TOD Ocvine
     Herbert Dee
     Meg Kelly
     John Skinner
     Darwin Wright

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                                                       9502.1987(11)
   DEC  21 193'

MEMORANDUM

SUBJECT:  Options for Voluntary corrective Action
PROM:     Karcia Williams
          Director
          Office of Solid Waste

TO-       Directors
          waste K«n«ge«ent Divisions, Reoione z-X

    Kany unperiiitted hasardous waste generators and other
industrial property owners are likely to have solid waste
eanagesnent units on their property that require some degree
of corrective action.  In a number of cases, the facility
owners nay wish to proceed with corrective action, either
to reduce their liability or to forestall subsequent EPA
or State action.  Onder current RCRA regulations, however,
certain actlvitiefl conducted during voluntary correction
action will require a perait if the wastes are hazardous
waste (i.e., they are known to include listed hazardous
wastes or they are determined to be hazardous under 40 CPR
261 subpart C) .  This could include relatively straight
forward activities, such as dewatering wastes or treatinq
orcundwater, at wall as wore complicated treatment
technologies such as incineration.

    we are concerned that the tine needed to obtain a
permit say in some cases substantially delay desirable
cleanup and provide a significant disincentive to
generators and other facility owners considering voluntary
corrective action.  I an Interested in Identifying approaches
that would allow certain relatively low concern treatment
activities to b« conducted during corrective action without
a full RCRA permit*.  we have identified several possible
s op roaches that »ight b« used to allow voluntary corrective
action at unpcrvitted sites.  These approaches are outlined
in the attachment.

    Options 1-3 ar* possible now, without any regulatory or
statutory changes.  With regard to these options, Z aw
specifically interested in the potential benefits and
obstacles you see to each of the approaches.  Are generators
or others likely to avail themselves of these? wave you usr
-------
                              -2-
    Ortion  4  would  require a  rule chanoe.  m our creJi-^in-r
 eiscusaions with  the Office of General'Counsel? thej have
 indicated that  they see potential legal problers to this
 approach.   Nevertheless, I believe that it aay'be worth
 further  investigating this option to see if a leoallv
 defensible approach can be developed,  fcith reqard to
 this option,  !••  soecifically interested in yoGr thouqhts
 on the types  of treatment activities that «aj be appropriate
 for conditional exemptions froa permitting.       t-^wpnace

    I »ee this  issue of voluntary corrective action ae
beinc> very important to our program,  i appreciate vou
taking the time to consider thii issue and I look forward
to your reactions.                                iwrwaca
Attachment

-------
                 uwmo STATIS INVHONMEMTAL PtoncrioM ACINCY
                                                            9502.1988(01)
       AUG 23 08
     MEMORANDUM

     SUBJECT:  OECM Comments on Corrective Action Rule

     FROM:     Slva K. Lowrance, Director          i
     TO:
Sylvia K. Lowrance, Director
Office of Solid Waste
                                              ^ fl
                                              JV
Edward Reich
Deputy Associate Enforcement Counsel
SYMBOL
          Last week when we met to discuss your Office's non-
     concurrence issues on the RCRA corrective action rule we reached
     tentative agreement as to how those issues would b« resolved.
     This memorandum summarizes my understanding of the agreements we
     reached.

          Issue 1.  CAMU.  The idea of including discernible units
     within a CAMU will not be explicitly proposed in the rule, but
     will be discussed in the preamble.  The preamble will also
     discuss optional approaches, as per the suggested preamble
     language in your August 9 memorandum.

          Issue 2.  Temporary Units.  Temporary units will be limited
     to managing wasted that originate within the boundary of the
     facility, similar to the concept contained in the "Christmas
     Tree" rule (see attached excerpt from that rule).  We will also
     develop additional preamble language explaining the legal
     rationale behind temporary units, emphasizing how notice and
     comment on such units is provided through the permit/order
     procedures.  Additional clarifying language describing how the
     land disposal restrictions apply to land-based temporary units
     will also be developed.

          Issue 3.  Point of Departure.  We will add rule language on
     10~6 as the point of departure in setting cleanup levels.  The
     language^ i* essentially the same as the language in the NCP  (see
     attached rule language).

          Issue 4.  Target Levels.  The preamble discussion which
     explains the circumstances in which it will not  b« necessary to
     specify preliminary target levels will b« expanded to  include
     additional clarifying examples.
                                    s our understanding
                                     •is-tant- with• -howf the
          *•»»«•«- ^f  a
      eon as possible

-------
media aggregate risk would be a factor in establishing cleanup
levels -and triggering corrective measure studies.  This
discussion will essentially reiterate the NCP language; i.e.,
that cross media analyses will be done when there are indications
that site-specific exposure conditions warrant such analyses.

     Issue 6.  Protectiveness.  As we discussed, the approach
articulated in the rule for setting cleanup standards within the
risk range, which allows flexibility to consider several factors
in selecting the appropriate level, is a fundamental concept in
both the RCRA and CERCLA programs.  You indicated that this would
not be a non-concurrence issue for OECM.

     If you have any questions concerning the above, please  let
me know.  I will be in touch with you later this week, to confirm
that this summary of our meeting is accurate, and to discuss how
th move the rule forward to OMB.


cc:  B. Weddle (OSW)
     M. Hale (OSW)
     D. Pagan (OSW)
     B. Grimm (OSWER)
     S. Leifer (OECM)
     J. Cannon (OECM)

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                                                9502.1988(02)
       :op.
Mr. Kenneth M. Kastner
Assistant General Counsel
Chemical Manufacturers Association
2501 M Street, N.w.
Washington, D.C.  20037

Dear Mr. Kastner:

     I am writing in response to your letter of January 7,
1988, in which you outlined the concerns on the Chemical
Manufacturers Assocation (CMA) regarding constraints on
voluntary corrective action, and offered several ideas as to
how the RCRA program could be adapted to facilitate voluntary
cleanups.

     We share your concern that the current RCRA regulatory
structure provides a disincentive to voluntary cleanup, and we
appreciate your recommendations on this question.  We are
currently exploring possible solutions to the issue through a
number of avenues, including EPA-sponsored corrective action
roundtables, in which your organization has been participating,
and the Keystone RCRA Project, which has identified voluntary
corrective action as a specific area of concern.  I trust that
out of these efforts we and other interested groups can agree
on a series of regulatory and, if necessary, statutory changes
that will remove impediments to voluntary cleanups, and at the
same time ensure adequate protection of human health and the
environment.

     In your letter, you suggested two specific areas for
possible regulatory change — permitting and the definition of
hazardous waste.  In the case of the first, you suggested a
RCRA permit waiver for voluntary cleanups, contingent upon
compliance with certain reporting, handling, design, and
operation standards similar to the standards currently found in
40 CFR Part 264.  As you may Jcnow, EPA discussed a similar
approach in its June 3, 1987 proposal on mobile treatment units
(52 FR 20914).  We believe that this approach deserves
particular consideration for voluntary corrective action, and
we expect to explore it in more detail through the Keystone
RCRA project.

-------
                               -2-
     You also suggested that EPA not define as "hazardous" any
wastes subject to voluntary corrective action.  We agree that
treating cleanup wastes as hazardous wastes may not always be
the most effective way of managing some of these wastes
--particularly soils and groundwater with low levels of
contamination.  Consequently, we are examining the current
regulatory status of contaminated soils and groundwater to
ascertain whether other approaches to these wastes can assure
protection of human health and the environment.  As a result of
this review we expect to reach a decision on whether regulatory
changes are necessary.

     We recognize that the issues you raise require prompt
resolution, and the Agency is committed to addressing them
expeditiously.  As you realize, however, your specific
recommendations and more generally the issue of voluntary
corrective action raise substantial technical, policy, and
legal issues.  We hope over the next several months to work
with you and other interested groups to resolve these, issues
and develop an overall strategy for encouraging voluntary
cleanups.  We look forward to your continued participation in
this process.

                                 Sincerely,
                                 Jeffrey D. Denit
                                 Acting Director
                                 Office of Solid Waste

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                                                   9502.1989(01)

            UNfTIO STATIS IHVWOKMINTAI PROTECTION ACIHCY
                         MA5
 Angus  Macbeth,  Esq.
 Sidley and Austin
 1722 Eye  Street, N.w.
 Washington, D.C. 20006


     Re:  Financial Assurance for Corrective Action Beyond the
          Facility Boundary

 Dear Mr.  Macbeth:

     mis is  in response to your January 5, 1989  letter
 concerning current regulations requiring financial assurance  for
 corrective action beyond facility boundaries.  Sections
 3004(a)(6) and  3004(v) of RCRA, as amended by the Hazardous and
 Solid  Waste Amendments of 1984 (HSWA), codified at 40 C.F.R.
 254.lOO(e) and  264.101(c), require that corrective action be
 i.-'jtituted beyond the facility boundary where necessary  and that
 r..s.-;uranees of financial responsibility for such corrective
 c1..-ions be provided.

     As discussed in the December 1,  1987 second  HSWA
 .-~'J.. rication  rule (52 F.R. 45788), Congress intended that owners
 ..:.:! operators of hazardous waste management facilities provide
 rir.ancial assurances for corrective action beyond the facility
 property  boundary.  The Agency does not believe that this
 requirement duplicates other financial assurance  requirements
 such as the third-party liability coverage requirements.   (40
 CFR 264/265.147).  Under 40 CFK 264/265.147 an owner or  operator
 must maintain specific types and levels of coverage  for -bodily
 injury and property damage to third-parties.  Sections
 264.141(g) and  265.141(g) provide that the terms   "property
damage" or "bodily injury" nave the meaning given such  terms
under  applicable state lav.  Additionally, these  terms  do  not
 include those liabilities which, consistent with  standard
 industry  practices, are excluded from coverage  in liability
policieo  for  bodily injury and property damage.   (40 CFR
 264/265.141(g)).

     In general we believe that  it  is both appropriate  and
 likely that onsite or off-site corrective action  activities  win
exceed the common definition and construction of  "bodily injury"
or "property  damage" as found  in an  insurance policy issued  to

-------
                               -2-


 satisfy RCRA  third-party  liability coverage requirements.  The
 Agency is also concerned  that to allow the use of established
 liability coverage  financial instruments to satisfy known
 corrective action costs could deplete those instruments, thereby
 rendering funds unavailable to satisfy the claims of injured
 third-parties.

    However,  insurance policies can be used to satisfy financial
 responsibility for  off-site corrective action under the current
 regulations in certain circumstances.  Specifically, if an
 insurance carrier determines that off-site corrective action
 costs  are covered under the terms of its policy, and the carrier
 provides  unequivocal documentation of a specified payment  to
 cover  all or  a part of off-site corrective action activities,
 then that policy would satisfy all or part of the required
 financial assurance for corrective action.

    The above discussion  concerning the use of insurance to
 satisfy off-site corrective action financial assurance
 requirements can be extended, under limited circumstances, to
 the use of other financial assurance instruments for liability
 coverage  provided by a third-party, i.e. .  letter of credit,
 surety bond, guarantee and trust fund.  Those circumstances
 could  arise only when the off-site corrective action costs are
 part of a third-party claim against the owner, operator, or
 holder of  the financial instrument and that claim has triggered
 payment of the instrument pursuant to 40 CFR 264.l51(h),  (k).
 (1) and (m).  The owner or operator of a facility subject to  the
 financial  assurance requirements cannot itself be considered a
 third-party within  the meaning of applicable regulations and
 instruments.

    Similarly, when an owner or operator uses the financial test
 or corporate guarantee to comply with third-party  liability
 financial  responsibility  regulations, and  a certified settlement
 or court  judgement  resulting from a third-party  claim for
 property  damage is coincident with all or  part of the cost
 estimate  prepared for off-site corrective  action, a second
mechanism would not have  to be used to cover that portion of the
corrective action cost.   If, in the situation described above,
 the owner/operator wishes to use the financial test or guarantee
 to demonstrate compliance with both third-party  liability
 requirements and off-site corrective action  financial assurance,
 the cost  estimate to be used in the alternative  formula provided
 in 40 CFR 264.151(g) would be equal to  the sum of  the
 third-party liability requirements and  any off-site corrective
action costs not coincident with the valid third-party  claim.
The Agency intends  to carefully re-examine the procedures and
 financial  instruments requirements  for  corrective action  (51
F.R. 37854), to ensure that owners and  operators of facilities
are afforded  ample  flexibility to meet  the requirements and  that
sufficient funds are available to cover all  necessary
 liabilities.

-------
                               -3-
    Finally, your letter requests that the issue
coverage also be examined in the context  *f "e
rule,   me Agency is considering these issues  in    o ™
the subtitle D proposal (August  30?  mJfS?  R   3^10""^ °f
                                            Mi
                         (382-7703)  in  th«  0«ice  o? GenerL
                              Sincerely,
                              J. Winston Porter
                              Assistant Administrator

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                                                        9502.1989(02)
May 25, 1989

MEMORANDUM

SUBJECT:  Comments on the Proposed OERR and OWPE Lead
          Cleanup Policy Memo

FROM:     Sylvia K. Lowrance, Director
          Office of Solid Waste  (OS-300)

TO:       Robert Duprey
          Acting Deputy Assistant Administrator


     In response to your question concerning the OERR and OWPE
policies on soil cleanups for lead, I'd like to briefly describe
OSW1s approach to setting lead cleanup standards.  The current OSW
interim policy is stated in the  Clean Closure guidance (52 FR 8706
3/19/87),  the Subpart S Corrective Action draft proposal, and the
RCRA Facilities Investigation guidance  (Draft as of 1/25/89) is to
use background soil levels for lead and any other constituents for
which an Agency recommended health based exposure limit  (RfD, Cancer
Potency Factor) is not available.  We have reiterated this policy to
the Regions and have provided some guidance on how to determine
background levels.

     We recognize that background levels of lead in soil will vary
from location to location.  In some cases, they may be as high as the
Superfund proposed levels of 500-1000 ppm, while in other cases they
are likely to be somewhat lower.  Currently, an Agency Workgroup
chaired by ORD is developing a health-based guidance document for
lead.  The Science Advisory Board is reviewing their efforts.  Once
this guidance has been developed, we anticipate that the Superfund
and RCRA programs will adopt it  and will thereby become consistent in
their cleanup policies for lead.
        This has been retyped from  the original document.

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            UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                       WASHINGTON. O.C. 20460

                                                  9502.1989(03)

                          JUN I 5 1969

                                                3CUD WiSTE VJG £M£aGENCv "ES'CNSE
Ms. Elizabeth M. Powell
Moore & Van Allen
One Hannover Square
Suite 1700
Post Office Box  26507
Raleigh, North Carolina
Dear Ms. Powell:

    I am writing  in answer to your  letter of May  4,  1989,  in
which you raised  several questions  concerning  the applicability
of RCRA to certain situations involving  remediation  of
contamination at  a facility.  The following response addresses
the questions which you have posed:

    I.   "Is 40 CFR S265.l(c)(11)(iii) applicable  to  remediation
at the facility to require compliance with Part 265  and  Parts
122-124. where no t'reatment. storage, or disposal activities are
'continued or initiated* in such remediation?"

    Section 265.1 defines the applicability of  "interim  status"
regulations to facilities which  treat, store or dispose  of
hazardous wastes.  Section 265.1(c)(11)(i)) provides an
exemption from this requirement  for  "...a person  engaged in
treatment or containment activities  during immediate
response...to (A) A discharge of hazardous waste; (B) An
imminent-and substantial threat  of  a discharge  of a  hazardous
waste;  or (C) A discharge of a material  which,  when  discharged,
becomes a'hazardous waste."

    This exemption from certain  interim  status  requirements  is
intended to allow owner/operators to respond to a hazardous
waste spill or discharge in a timely manner, without having  to
comply with procedural and/or technical  requirements that could

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 inhibit such response measures, and which may otherwise be
 inappropriate^, for such  immediate or emergency-type situations.
 An essentially  identical provision is  found  in the Part 264
 regulations  (Section 264.1(g)(2)).

    An exception to this exemption is  found  in Section
 265.l(c)(11) (iii) .  This is  intended to limit the scope of the
 exception only  to those hazardous waste management activities
 directly associated with an  immediate  response to a discharge.
 (See 53 FR 34085, September  2,  1988).  Thus, for example, an
 owner/operator  responding  to  a discharge might excavate soil
 contaminated with the spilled hazardous waste and store it
 temporarily in  containers  prior to the removal of the material
 off-site.  The  container storage area would not be subject to
 technical interim status standards.

    However, if treatment  or containment activity were to be ,
 continued or initiated after  the immediate response is complete,
 the person performing these  activities can no longer take
 advantage of the Section 265.1(c ) (11)(i) exemption and must
 comply with Part 265 requirements governing treatment, storage,
 or disposal activities.

    It should be understood  that Section 265.1(c)(ll) applies
 only to situations involving an immediate response to discharges
 for hazardous wastes.  To  the extent that such an immediate
 response action has not occurred and is not occurring at the
 facility in question, none of the provisions of this subsection
 would apply.

    II.  "Is the presence  of  soil and groundwater contamination
 at a facility,  standing alone, a sufficient basis upon which a
 state agency can make a finding that disposal of hazardous waste
 took place at that facility,  thereby resulting in a
 characterization of that facility as a 'disposal facility'
 subject to RCRA operational  and permitting requirements relevant
 for TSD facilities?"

    II.  Past releases of  hazardous waste which have occurred
 anytime ..after November 19, 1980 may constitute "disposal" as
defined by RCRA Section 1004.  Thus, such releases could
constitute a- violation of  RCRA  (disposal of hazardous waste
without a permit under RCRA  3005 or 3006) which could be
 actionable under RCRA Section 3008(a).  Since the situation you
described might involve the  disposal of hazardous wastes, and
 since RCRA Section 3005 requires that  a person obtain a Subtitle
C permit for the treatment,  storage, or disposal of hazardous
waste,  in some cases it may  be appropriate to require the
owner/operator  to obtain a permit for  the facility in order to
 impose Part 264 standards  for the disposal unit  (i.e., a
 landfill).   Since the facility you describe  is no  longer an

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                                - J-
operating facility, f.he State might decide than a post-closure
permit would J.ikely be the appropriate permit mechanism when a
permit is required.

    III.   "Does EPA Office of Solid Waste policy require an
entity to prepare, submit and receive approval for a Part B
permit and/or post closure permit, where the facility is no
longer operational, shows no intention to be operational, and
where the present property owner has made clear its intention to
voluntarily remediate the soil and groundwater contamination at
the property to the specifications of the state agency?"

    III.   As explained above, the requirement to obtain a RCRA
permit for a facility, based on the facts you have presented, is
within the authority of EPA or a State, if the State has been
authorized for RCRA.  The decision as to whether and when this
authority may be exercised, is at the discretion of the
implementing agency; in the case of an authorized State, such
decisions would be made according to State program policy.

    Finally, it is important to keep in mind that the discussion
found in this response contains EPA's interpretations of Federal
regulations; authorized States may rely upon State
interpretations of State regulatory provisions which may differ
from those of the EPA.

    I hope that this response had adequately addressed your
inquiry.   Should you require any further assistance, please
contact David Fagan at (202) 382-4497.

                             Sincerely,
                                  i  jC-i^bow ranee,, Director
                             Office^of Solid Waste

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                UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                           WASHINGTON, D.C. 20460
                                                      9502.1989(04)
                                                             >"-CE : =
                        / 0 /pee
 MEMORAKDUM                                  ^\
                                         , , RO"'
 SUBJECT:   Coordination of  Corrective  Action Through  Permits
           and Orders                   w' v

 FROM:      Susan  E.  Bronun,  Director
           RCRA Enforcement Division
           Joseph  Carra,  Director ,l
           Permits and  State  Prog/r4'ms  Division

TO:        Waste Management Branch Chiefs,  Region  I-X

                                .. r- .
     An  increasing number of RCRA facilities are  becoming  subject
to both  §3008 (h)  orders  and  §3004 (u)  permit requirements at
facilities where  the orders  were  issued  prior  to  permit issuance.
This memorandum is intended  to  provide guidance on  how to
coordinate permit and  order  requirements for corrective action  in
these situations.

     The issuance of a permit requiring  corrective  action  to  a
facility does  not absolve an owner/ operator of any  responsibility
to comply with an order  for  corrective action  previously issued
to the facility.   The  facility  owner/ operator  must  comply  with
both the permit and an existing order.   Hence, coordination
between  the two is essential.

     Although  §§3008 (h)  and  3004 (u) both authorize  the Agency to
require  clean-up  of releases at operating facilities,  the
distinctions between the two authorities should be  considered
when issuing or modifying a  permit, or amending an  order.  The
§3008(h)  order authority authorizes tbe  Agency to require
corrective action at. RCRA interim status facilities or those  that
should have had interim  status, prior to the issuance  or denial
of permits.  Prior to  issuing a permit to a facility subject  to a
§3008 (h)  order, the Region must make  a decision whether to
incorporate the terms  of the order into  the permit  by  reference,
incorporate the terms  directly  into the  permit and  terminate  the
order,  or  require the  respondent to comply with the separate
terms of  the order and the permit.  If not terminated, the order

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                               -  2  -
 continues  in  effect,  according to  its terms, past the point of
 permit  issuance  for the  facility.  If a change in the corrective
 action  requirements becomes necessary at a facility subject to a
 separate permit  and an order, the  Region should determine whether
 an  amendment  to  an  order or a permit modification will effectuate
 a change in the  corrective action  cleanup more efficiently.
 Because it is impossible to anticipate every scenario where both
 a permit and  an  order are in effect at a facility, it is
 important  to  be  cognizant of the distinctions between the
 authorities,  and make the determination about which vehicle is
 more  appropriate in light of the facts surrounding each case,  of
 course, a  §3008(h)  order cannot be issued to a facility after
 final disposition of the permit application.  Also, after
 §3004(u) has  been triggered, modifications to an order may be
 limited only  to  those additional requirements needed to
 effectively implement cleanup of releases already covered by the
 order.  To the extent that modifications to an existing order are
 made, the  Region must ensure that  no conflict with permit
 conditions will  be  created.

     Section  3004(u)  authorizes corrective action only with
 respect to a  release  from a solid  waste management unit.
 However, please  note  that if a release cannot be attributed to a
 unit, the  omnibus authority in §3005(c)(3) can be used as
 authority  for permit  conditions that address corrective action
 for that release, provided that the Region can demonstrate that
 the conditions are  necessary to protect human health and the
 environment.  In order to establish the basis for issuing a
 §3008(h) order,  the Agency need only establish that there has
 been a  release of "hazardous waste" as defined under §1004 from
 the facility.  Therefore, once it  has been established that a
 release attributable  to  the facility has occurred, it is not
 necessary  to  determine that a "unit" is the source of the release
prior to issuing an order for corrective action.

     The regulations  require EPA to provide the public with an
opportunity to comment on proposed permit conditions, including
corrective action provisions.  The processes prescribing the
requirements  for public  participation are set forth at 40 CFR
 124.10 -.19.   An OSWER directive,  "Guidance for Public
Involvement in RCRA Section 3008(h) Actions," sets forth the
requirements  for public  involvement in the order issuance process
and reiterates EPA's  commitment to providing meaningful
opportunity to the  public to be informed of and participate  in
decisions that affect them and their communities.

     As previously  stated, the Agency is not required to
integrate the requirements of the  order into the permit to ensure

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 the  respondents  continued compliance with the corrective action
 requirements.  Regions  should require facility owners/operators
 to comply with both  the permit and the order requirements if the
 requirements of  the  order are not subsumed in the permit.
 Therefore,  increased coordination between the permitting and
 enforcement programs will be critical to ensure that cleanups at
 these  facilities are not hindered by poor coordination of these
 requirements.

     Headquarters is developing an additional policy to address
 the  relationship between post-closure permits and §3008(h)  orders
 at closing  facilities based on issues raised at the last branch
 chiefs meeting in Chicago.  Please plan to discuss any comments
 you  have on how  the  Agency can most effectively regulate the
 activity at these closing facilities at the next Branch Chiefs
 meeting.  Headquarters  is also considering the use of stipulated
 penalties in the compliance schedules in the permits to compel
 corrective  action.

     If you have questions or comments about the relationship
between the permit and  the order^at a facility, please contact
Susan Hodges in  OWPE at (FTS) 475.-9315 or Dave Fagan in OSW at
 (FTS) 382-4497.   Also,  see the attached March 8, 1988, memorandum
on Use of the §3008(h)  Orders or Post-Closure Permits at Closing
Facilities  for additional discussion.on how the two authorities
can be used.

Attachments

cc:  Steve  Botts,  OECM
     Fred Chanania,  OGC
     RCRA Permits  Section Chiefs, Region I-X
     RCRA Enforcement Section Chiefs, Region I-X

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                                            9502.1990(01)
               UNITED. STATIES ENVIRONMENTAL PROTECTION AGcN'CY
                          WASHINGTON. O.C. 20460
                             MAY   7
 MEMORANDUM
 SUBJECT:   Interim Guidance c>?.; Establishing Soil  Lead  Cleanup
           Levels at RCYm facilities
 FROM:     Sylvia K. Lowrance, Directe  K  \
          Office of Solid Waste    -'-^\

 TO:       David A. Ullrich, Acting Director
          Waste Management Division, Region V  (5HR  -  13)


     This is in response to your memorandum of  February  15,  1990
 requesting interpretation as to whether  a recent OSWER Superfund
 directive (#9355.4-02), which sets forth interim soil cleanup
 levels for lead at Superfund sites, also applies to RCRA closures
 and corrective actions.  In addition, this memorandum will
 supplant the memorandum from Sylvia Lowrance to William  Muno
 dated May 27, 1988, interpreting the use of soil background
 levels for lead as clean closure standards.

     As you know, establishing a health-based  "cleanup"  level  for
 lead in soil has been a major issue for  the Agency  for some  time.
 Presently, there is an interoffice project underway to develop
 site-specific soil lead cleanup levels based on a biokinetic
 uptake model, as referenced in the above guidance memorandum.  We
 anticipate that this model will be finalized within the  next
 several months; however, we recognize the importance  of
 addressing this issue at this time and so are  offering this
 interim guidance.

     We understand that during this interim period, Region 5 and
 other Regions and States will need to make decisions  as  to the
 appropriate levels for lead in soil in the context  of RCRA
 closures and corrective actions.  It is  our understanding, based
 on tone preliminary runs of the new model, that the soil lead
 cleanup levels could be as low as 100 -  150 ppm at  some
 facilities.   These levels would reflect  a set  of default' values
 based on conservative assumptions regarding exposure  and other
 factors.  Thus, there may be a number of situations where it
would be appropriate to use other assumptions  in setting cleanup
 levels for specific facilities.  For more information on the
model being developed, and how site-specific  factors  may be  used
to calculate levels appropriate to a specific  site, you  may  wish

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to contact Susan Griffin of the Health Assessment Section (FTS-
382-6392).

     Until the model is finalized)'we believe that it may be
appropriate under some exposure conditions, to establish soil
lead cleanup levels based on the CDC-derived numbers, presented
in OSWER directive 9355.4-02, rather than the 100 - 150 ppm range
provided above.  Alternatively, background levels may also be an
appropriate choice for cleanup levels.  Background levels could
be used, for example, in urban settings or industrial areas,
where they sometimes exceed levels derived from health-based
models.

    If you have any further questions, please contact Dave Fagan
(FTS-382-4497) or Lisa Askari (FTS-382-4535).

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      i        UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                         WASHINGTON, D.C.  20460


                                                  9502.1990(02)


                            jlil_ i i i99Q                  OPF.CEO*
                                    "         SOLi O '.VAST E AND EMERGE NO

MEMORANDUM

SUBJECT:  Requirements for Cleanup of Fipal NPL Sites Under RCRA

FROM:     Don R. Clay  i^r	• A!
          Assistant Administrator

TO:       Stephen R. Wassersug, Director
          Hazardous Waste Management Division

          Marcia Mulkey,  Regional Counsel
          Office of Regional Counsel


     In your memorandum  of May  16, 1990, you requested guidance
on the applicability of  the Natipnal Oil and Hazardous Substances
Pollution Contingency Plan  (NCP)' to the final National Priorities
List (NPL) sites being addressed pursuant to RCRA corrective
action authorities.  Specifically-, you question whether the NCP
mandates, for sites being addressed under RCRA, specific cleanup
procedures and deletion  criteria for site cleanup and ultimate
removal from the NPL which are  not requirements of RCRA 3008(h).
You are concerned that a site that is considered by RCRA to be
remediated, may not be able to  be removed from the NPL due to a
failure to address an administrative or procedural NCP
requirement.

     Your memo refers to language in the proposed NCP which
states that "it is appropriate  to apply different and more
stringent criteria in actions to delete based on deferral to
other authorities.11  It  also mentions examples of NCP
requirements (e.g., the  ROD must detail how the selected remedy
attains ARARs and utilizes permanent solutions; a five-year
review of remedial actions is required if hazardous substances
remain at the site above certain levels; and State involvement
requirements roust be met) which are not required by RCRA Section
3008(h)  actions.

     In response to your inquiry, it should first be noted that
the final NCP states that EPA  "has the discretion to use its
authorities under CERCLA, RCRA  or both to accomplish appropriate
cleanup at a site, even  where the site is listed on the NPL."
55 FR 8698 (March 8, 1990).  See also 54 FR 41009 (Oct. 4, 1989).
Thus the Agency has clearly stated that RCRA authorities may be
used at NPL sites..

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                               -2-

     Second, the "different" and "more stringent" criteria you
referred to from the proposed NCP related to deletion of final
NPL sites "based on deferral" to another authority. 53 FR 51421
(Dec. 21, 1988).  That draft policy has not been adopted by the
Agency, and therefore, the preamble language is irrelevant.

     The criterion that must be met before a site on the final
NPL is deleted is that "no further response [at that site] is
appropriate."  40 CFR 300.425(e) (55 FR 8845, March 8, 1990).
Where a remedial action has been carried out under RCRA and there
is no significant threat to public health or the environment,
a CERCLA response should not be necessary.  (See 40 CFR
300.425(e)(1)(iii)).  In effect, where the RCRA program takes
action at an NPL site, the CERCLA program simply delays the
start-up of its Remedial Investigation/Feasibility Study (RI/FS)
site assessment process, in order not to interfere with or
duplicate the ongoing RCRA work.  When the RCRA remedy is
complete, the Agency will do an abbreviated RI (incorporating by
reference in most cases, information from the RCRA cleanup) and
make a determination of whether any CERCLA action is required.
The Agency expects that sites cleaned up under RCRA corrective
action would be considered "no action" sites under CERCLA.

     The finding of no action should be set out in a close-out
report in preparation for deletion from the NPL.   The site close-
out report should include appropriate documentation on the RCRA
action (and any other action at the site under RCRA or CERCLA),
and a finding that no further action under CERCLA is warranted
for any of the units and-areas of contamination.   Site deletion
can proceed when all necessary response actions have been
completed.  For more information, refer to the April 1989 OSWER
Directive 9320.2-3A entitled "Procedures for Deletion and
Completion of NPL Sites."

     You also asked whether actions taken under RCRA section
3008(h)  at an NPL site must meet NCP requirements for remedy
selection.  Because no CERCLA remedy is being selected in a RCRA
corrective actio* situation, the remedy selection requirements in
CERCLA Section 121 and NCP Section 300.430 do not have to be met
in order to delete the site from the NPL.  Therefore, the
requirements of a ROD — for example, that it detail how the
remedy will attain ARARs and utilize permanent solutions — do
not apply to RCRA activities at NPL sites.

     In addition, the formal State involvement discussed in
Subpart F of the NCP does not apply to RCRA activities at NPL
sites although the 3008(h) order should allow States to be kept
informed of the progress of the RCRA corrective action
activities,  and include some type of State review of workplan
submittals.

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                               -3-
It should also be noted that State concurrence and public
participation are required prior to the deletion of all NPL
sites, even if much of the site was addressed under RCRA
corrective action authorities.  NCP Section 300.425(e)(2)(4) (55
FR 8845).

     With regard to the five year reviews under CERCLA,  these
reviews  are required only at sites where a CERCLA remedy has been
selected and thus would not apply to sites where no action is
taken under CERCIA (e.g., RCRA corrective action sites).
However, as a matter of policy, the Agency may decide to include
in the CERCLA five-year review program no-action NPL sites where
RCRA corrective action has occurred and hazardous substances
remain on site above levels that allow for unrestricted use and
unlimited exposure.  The Agency is presently considering whether
five-year review would be appropriate at NPL sites where
monitoring is already being conducted under a RCRA post-closure
permit.

     If you have any questions regarding these issues, please
call Nancy Parkinson, OWPE, at 475-8729 or Larry Starfield, OGC,
at 245-3598.

cc:  Hazardous Waste Division Directors, Regions I, II,  IV-X
     Regional Counsels, Regions I, II, IV-X

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                UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                           WASHINGTON. D.C. 20460


                                                   9502.1991(01)

                           MAR 2 7 1991

                                                         OFFICE OF
                                                       GENERAL COUNSEL
MEMORANDUM
SUBJECT:  Use of Proposed  Subpart  S  Corrective  Action  Rule  as
          Guidance  Pending Promulgation  of  the  Final Rule
FROM:     Lisa K.
          Associate GeneraTtounsel
          Solid Waste  and  Emergency
            Response Division  (LE-132S).

TO:       Regional Counsel RCRA  Branch  Chiefs,  Regions  1-10


     This memorandum is  in response  to  your  request  for
assistance in determining  which  portions  of  the proposed  Subpart
S rule, implementing corrective  action  requirements  for permitted
facilities under Section 3004(u)  of  RCRA,  can be implemented
immediately on a case-by-case  basis'  without  further  rulemaking.

Background

     Section 3004(u) generally requires that each permit  for  a
RCRA hazardous waste treatment,  storage or disposal  facility
issued after November  7, 1984  contain provisions requiring
corrective action for  releases from  any solid waste  management
unit (SWMU) at the facility.   EPA has implemented this
requirement through codification of  the requirement  (40 C.F.R.
264.101), interpretative rules (July 15,  1985 (50 Fed.  Reg.
28702)  and December 1, 1987 (52  Fed. Reg.  45788)), and  guidance
documents (including the RCRA  Facility  Assessment Guidance
(October, 1986), Interim Final RCRA  Facility Investigation
Guidance  (May, 198"9) .  Corrective Action Plan (May^ 1988) , and
RCRA Corrective Action Interim Measures Guidance (June, 1988)).

     On July 27, 1990, EPA published a  proposed rule which would
codify in detail the procedures  and  standards for implementing
Section 3004(u).  55 Fed.  Reg. 30798 (July 27,  1990).   Much of
the proposal would be  a  codification of the  current  site-by-site
process by which EPA is  currently implementing Section  3004(u).
In addition, certain portions  of the preamble represent
interpretations of the existing  statutory or regulatory

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requirements that  apply  to  these corrective actions.  At the same
time, however, some of the  proposal involves changes in the
existing regulatory requirements in order to facilitate
corrective  action.

     The preamble  does not  state how the proposed rule relates to
ongoing corrective actions  or those which will be begun prior to
promulgation of the rule in final form.  We understand that the
Headquarters program office primarily responsible for the rule
(the Office of Solid Waste) is generally instructing the Regions
to apply the proposal in the interim as "guidance".  However,
because some aspects of  the proposal represent proposed changes
in existing regulatory requirements, which will not be effective
until the rule is  promulgated in final form, some parts of
Subpart S cannot be relied  upon in establishing or defending
corrective action  requirements imposed at a facility in the
interim.

     Based on the  questions we have been receiving about this
issue, as well as  our discussions with you, there seems to be a
certain amount of  confusion over which aspects of proposed
Subpart S can legally be relied on in implementing corrective
action prior to promulgation of the rule.  At your request,
following is our advice  concerning rwhich portions of the rule can
be used as "guidance" in the interim and which cannot.  Note,
however, that those portions of the.rule which can be used as
"guidance" before  promulgation of the final rule must be applied
and defended on a  case-by-case basis in individual permit
proceedings.

Analysis

     As a general  matter, portions of the preamble or rule that
are interpretative and which are not based on changes to
currently applicable regulatory requirements can be used as
guidance during the interim, but must be established and defended
on a case-by-case  basis.  Most of the preamble and proposed rule
are interpretative and are  not inconsistent with any current
regulatory requirements and thus can be used as guidance in the
interim.  In contrast, portions of the rule or preamble that are
based on changes to currently applicable rules cannot be used as
guidance during the interim.  In the paragraphs below, we have
outlined the major portions of the rule and identified which
portions should not be used guidance until the final rule is
promulgated and effective.

     1.  Applicability (preamble pages 30805-07).

     This section  represents EPA's interpretation of the
facilities at which Section 3004(u) is applicable based on the
statute and legislative history.  Because this discussion
represents the Agency's current interpretation of the statutory

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 requirement,  it  can (and should)  be applied to facilities
 undergoing corrective  action prior to promulgation of  the  final
 rule.

      2.   Definitions  (preamble  pages 30808-10).

      Like the applicability section,  this  section  represents
 EPA's  current interpretation of key terms  in Section 3004 (u).
 These  interpretations  are applicable to  corrective actions prior
 to  promulgation  of  the final rule.1

      3.   Investigation and selection of  corrective measures
           (preamble pages 30810-40).

     The  proposed process for investigating SWMUs  and  selecting
 appropriate corrective measures represents a proposed
 codification  of  existing practices which are currently found,  if
 at  all, in guidance documents,  not in existing regulatory
 provisions.   As  a result,  the proposed process,  including  the
 provisions governing interim measures and  conditional  remedies,
 can be used as guidance until promulgation of the  final rule.

     However, because  the specific requirements  for these
 corrective actions  are not currently regulatory  requirements,
 they must  generally be imposed  in  the permit,  and  justified on a
 case-by-case  basis, in order to make  them  mandatory for the
 permittee.  For  example,  the Agency-will not be  able to rely on
 the proposal  for the authority  to  require  the permittee to submit
 corrective action reports.   In  order  to  impose corrective action
 reporting  requirements,  the  permit must  contain  the reporting
 requirement,  and it must be  based  on  Section 3004(u) or Section
 3005(c)(3) or other relevant statutory or  regulatory
 authorities,  as well as the  factual  circumstances  at the
 particular facility.

     Similarly,  the current  regulations  do not explicitly provide
 EPA with unilateral authority to modify  the  permit  to  add
 requirements  or to  address disputes  that arise during
 implementation, as  proposed  under  Section  270.34(c) (preamble
 pages 30837 and 30850).   This proposed modification procedure,
 which would be an.Alternative to the  current procedure  for
 Agency-initiated codifications  under  40  C.F.R. 270.41, was
 intended to minimize procedural delays for imposing changes to
 corrective action schedules  of  compliance,  while ensuring due
     1   As many of you know, several of the key definitions, as
well as EPA's interpretation of the applicability of the Section
3004(u) requirements, have been upheld by the D.C. Circuit Court
of. Appeals.  See American Iron &  Steel Institute v. EPA, 886 F.2d
390 (D.C. Cir. 1989), cert, denied, 110 S. Ct. 3237 (1990);
United Technologies Corp. v. EPA,  821 F.2d 714 (D.C. Cir. 1987).

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 process.

      We understand that the corrective action model permit
 includes  a modification procedure similar to proposed 270.34(c),
 and that  many permits already issued include this provision.
 With respect to existing permits containing such provisions,
 permittees and members of the public have had an opportunity  to
 object to such provisions during the comment period on the draft
 permit, and to the extent they did not,  have arguably waived
 their rights to do so.  To the extent that there are objections
 raised in regard to including this procedure in pending or future
 permits,  we recommend that you rely instead on the existing
 modification procedures in the regulations.

      4.  Management of wastes (preamble pages 30840-45).

      Several of the proposed regulations governing the management
 of  wastes generated during a corrective action require changes
 in  the existing regulations and thus may not legally be used  as
 guidance  until those changes have been made final and effective.
 Such proposed changes include the provisions allowing for waiver
 of  applicable closure requirements,  reduced requirements for
 "temporary units", and any use of the CAMU concept other than to
 allow designation of an area of broad contamination as a single
 unit for  purposes of determining what RCRA management standards
 apply.

      The  Agency can, however, continue to use existing waivers or
 variances to achieve many of the same objectives as the proposed
 rule changes.  The CAMU,  for example,"can currently be used to
 define the boundaries of a- land disposal unit to the same extent
 as  the Agency described the Superfund AOC in the preamble to  the
 revised NCP (55 Fed. Reg. 8758-60 (March 8, 1990))  because this
 interpretation relies on the broad definition of "landfill" under
 the current regulations.   However,  if hazardous wastes are
 managed in the CAMU, the unit must comply with currently
 applicable hazardous waste requirements, including groundwater
 monitoring under 40 C.F.R. 264,  Subpart F,  and closure under  40
 C.F.R.  Part 264, Subpart G.  The authority to alter applicable
. closure/post-closiJre requirements for CAMUs, proposed in the
 rule,  does not currently exist.

      In addition,  if the area to be included in a CAMU includes
 an  already-regulated hazardous waste land disposal unit, such as
 a "regulated unit",  the facility may need to obtain a
 redesignation of the unit boundaries as they appear on the Part
 A.   The reconfiguration of unit boundaries, which must be
 approved  by the permitting authority, can occur prior to
 permitting,  pursuant to 40 C.F.R. 270.72, or after permit
 issuance,  pursuant to 40 C.F.R.  270.41 or 270.42.  As noted
 above,  the owners/operators of such redesignated units would  need
 to  comply with applicable hazardous waste disposal requirements.

-------
 including groundwater  monitoring and closure.

      5.  Required notices  (preamble  pages  30845-46).

      The required notices  are  additions  to, not changes of,
 current regulatory  requirements.   As a result, such requirements
 can be currently applied if  imposed  in the permit and justified
 on a  case-by-case basis under  the  authority of Section 3004(u).

      6.  Permit requirements (preamble pages 30846-51).

      Most of the proposed  permit requirements are changes to
 currently existing  requirements  and  thus cannot be imposed until
 the changes are final  and  effective.  The  provisions which cannot
 be used as guidance pending  the  final rule include the
 requirement to maintain or obtain  a  permit to implement
 corrective action and  the  special  modification procedures for
 schedules of compliance.   The  proposed requirement concerning
 reporting of new SWMUs and the requirement to maintain an
 information repository can currently be  required if imposed in a
 permit based on Section 3004(u)  and  3005(c)(3) authorities.

      7.  Closure requirements  (preamble  pages 30851-52).

      As discussed above, proposed.requirements to alter
 applicable closure regulations cannot be.used as guidance until
 the changes are final  and  effective.  Similarly, the proposed
 addition to the interim status closure plan requirements cannot
 be required until the rule is  final.  However, the clarifications
 of the closure regulations discussed in  this section of the
 preamble are interpretations of existing regulations and thus may
 be currently implemented.

      If you or your staff  have questions about the use of the
 Subpart S proposal as guidance, please feel free to call Carrie
Wehling of my -staff at 382-7720.

 cc:  Kathie Stein
     Bruce Diamond
            LowrafPce

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                DKEUD STOES ENVHOWHfEAL FRJIECZICN
                                   FSGXCN V
   DAB:      FEB i 5 iStf
                                                             A
            CSHER Directive #9355.4-02  (Soil leal cleanup levels)
            and its Effect onJjCR* Closures.
   FROM:  „ David A. Ullrich, Acting ^keeCo):  (5HR-13)
                  Management Divisit
     TO:    Sylvia K. Icwrance, Director  (06-300)
            Office of Solid Waste
The purpose of this •anorandm is to request your interpretation as to
Aether a recent QSHBR Si^ierfund directive has any effect on BCRA closures.
One directive (19355.4-02) sets forth interim soil clean^) levels for lead at
          sites.  RBoently, the State of Ohio has infomed us that an Ohio
consulting fixn, Ef9f-Midwest, is attespting to '»*=» **»^« ff^**^r^ to
clean closure levels for lead at RCRA far.niHfB.  The Ohio EA has asked for.
the U.S. EP&'s assistance in responding to Em-Midwest on this issue.

The Ohio EPA beramp authorized to approve closure plans in June 1989.  Prior
to that tine, Region V approved closure plans for Ohio ft»HH»<««-  it has
been Region V's position that, in general, Super-fund guidance is not
applicable to RCRA closures horaagy of differences in the Superfund and RC3*A
statutes (such as for cost-effectiveness reqjuirenarts) .  However, to assist
the State of Ohio, an interpretation from Headquarters would be helpful on
the p*THr»iiaT- directive referred to in
We are aware that the Office of General Counsel is preparing a response to
this issue, hasprl on procedural grounds only, for the T^^T *r!*"^r|r> against
the Agency involving Burnham Corporation in Zanesville, Ohio.  However, we
believe a policy interpretation is necessary at *•*•»*« *•<**» on this issue,
removed from the specifics of the Burnham case.  He are mnrmmftt that this
Ifyare will continue to arise at RCR\ ftjr?iii«-igi« that Bay eoploy Em-Midwest
as a consultant.
ffe VQUJjQ flppUCifl'tO A IPffflTXTTlff^ ftfi ff^Tfl ^ff rn^^g^pi^tfi- 9S f^io ifl 2J1 CUB pF
of dealing v^tti at least two farrii^«-^o« on these issues.  If you need any
arir! \ t- i m] J^Bb^BStiofi to complete your report, p1****» contact
Frandne Hoctt^ of ay staff, at FES 886-6198.
cc:  Ed Kitchen, CEPA

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               UNITED J?rit%S ENVIRONMENTAL PROTECTION AGENCY
                          WASHINGTON. O.C. 20460
                                                            f)ft,ci Of
                                                   SOl'O WflS'E a^O tM-«G£*.Cv a:S3C';S:
        U.S. t?
                                       OSWER Directive #9355.4-02
 MEMORANDUM

 SUBJECT:



 FROM:
Interim Guidance  on Establishing  Soil  Lead  Cleanup
Levels at Superfund Sites.
Henry L. Longest  II,  Director
Office of Emergency and  Remedial Response
TO;
Bruce Diamond, Director-
Office of Waste  Programs Enforcement

Directors, Waste Management Division, Regions  I,  II,
IV, V, VII and VIII
Director, Emergency and Remedial Response  Division,
Region II
Directors, Hazardous Waste Management Division,
Regions III and  VI
Director, Toxic  Waste Management Division,
Region IX
Director, Hazardous Waste Division, Region X
PURPOSE
     The purpose of  this directive is to set forth an interim soil
cleanup level for total  lead,  at 500 to 1000 ppm, which the Office
of Emergency and Remedial Response and the Office of Waste Programs
Enforcement coejsider protective for direct contact at residential
setting*.  Thjls>range  is to be used at both Fund-lead and
Enforcement-laid CERCLA  sites.  Further guidance will be developed
after the Agency has developed a verified Cancer Potency Factor
and/or a Refcranes Doss  for lead.

BACKGROUND

    /Lead is commonly  found at hazardous vasts sitss and is a
contaminant of concern at approximately one-third of the sitss on
the National Priorities  List (NPL).  Applicable or rslsvant and
appropriate requirements (ARARs) ars available to provide cleanup
levels for lead in air and water but not in soil.  The current

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 National Aabient Air Quality Scondard for lead is 1.5 ug/m3.
 While the «xi«ting tiaximum Contaminant Level (MCL)  for lead is
 50 ppb, thef'Agancy has proposed lowering the MCL for lead to  10 ppb
 at the tap Jtnd to 5 ppb at the treatment plant*1).   A Maximum
 Contaminant Level Goal (MCLG)  for lead of zero was  proposed in
 1988(2).  At the present time, there are no Agency-verified
 toxicological values (Reference Dose and Cancer Potency Factor,
 ie., slope factor), that can be used to perform a risk assessment
 and to develop protective soil cleanup levels for lead.

      Efforts are underway by the Agency to develop  a Cancer
 Potency Factor (CPF)  and Reference Dose (RfD),  (or  similar
 approach),  for lead.   Recently,  the Science Advisory Board
 strongly suggested that the Human Health Assessment Group (HHAG)
 of the Office of Research and  Development (ORD)  develop a CPF for
 lead,  which was designated by  the Agency as a B2 carcinogen in
 1988.   The  HHAG is in the process of selecting studies to derive
 such a level.   The level and documentation package  will then  be
 sent to the Agency's  Carcinogen Risk Assessment Verification
 Exercise (CRAVE)  workgroup for verification.   It is expected  that
 the  documentation package will be sent to CRAVE by  the end of
 1989.   The  Office of  Emergency and Remedial Response,  the Office
 of Waste Programs Enforcement  and other Agency programs are
 working with ORD in conjunction with the Office of  Air Quality
 Planning and Standards  (OAQPS)  to develop an RfD,  (or similar
 approach),  for lead.  The Office of Research and Development  and
 OAQPS  will  develop a  level to  protect the most sensitive
 populations,  namely young children and pregnant women,  and submit.
 a  documentation package to the Reference Dose workgroup for
 verification.   It is  anticipated that the documentation package
 will be  available for review by the fall of 1989.

 IMPLEMENTATION

     The following guidance is to be implemented for remedial
 actions  until  further guidance can be developed based on an Agency
 verified Cancer Potency Factor and/or Reference Dose for lead.

     Guidance

     This guidance adopts the  recommendation contained in the 1985
 Centers  for Piseasu Control (CDC)  statement on childhood lead
 poisoning(3* and in to  be followed when the current or predicted
 land use im residential.   The  CDC recommendation states that
 "...lead in soil  and  dust appears to be responsible for blood
 levels  in children increasing  above background levels when the
 concentration  in  the  soil or dust exceeds 500 to 1000 ppm*.
Site-specific  conditions  nay warrant the use of soil cleanup
levels below the  500  ppm  level or somewhat above the 1000 ppm
level.  The  administrative record should include background
documents on the  toxicology of lead and information related to
site-specific  conditions.

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      The range of !500 to 1000 ppm rcf	^o level?  for  «-otal  lead,
 as measured by protocols developed by the Superfund Contract
 Laboratory Program.   Issues have been raised concerning the role
 that the bioavailability of lead in various chemical forms and
 particle sizes should play in assessing the health  risks posed by
 exposure to lead in  soil.  At this time,  the Agency has not
 developed a position regarding the bioavailability  issue and
 believes that additional information is needed to develop a
 position.  This guidance may be revised as  additional information
 becomes available regarding the bioavailability of  lead in soil.

      Blood-lead testing should not be used  as the sole  criterion
 for evaluating the need for long-term remedial action at sites that
 do not already have  an extensive,  long-term blood-lead  data
 base*1).


 EFFECTIVE DATE OF THIS GUIDANCE

      This interim guidance shall take effect immediately.  The
 guidance  does  not require that cleanup levels already entered into
 Records of  Decisions,  prior to this date, be revised to conform
 with  this guidance.
1 In one case, a biokinetic  uptake model developed by the Office
  of Air Quality Planning  and  Standards was used for a site-
  specific risk assessment.  This approach was reviewed and
  approved by Headquarters for use at the site, based on the
  adequacy of data  (due to continuing CDC studies conducted over
  many years).  These data included all children's blood-lead
  levels collected over a  period of several years, as veil as
  family socio-economic status, dietary conditions, conditions of
  homes and extensive environmental lead data, also collected over
  several years.  This amount  of data allowed the Agency to use the
  model without a need for extensive default values.  Use of the
  model thua allowed a more  precise calculation of the level of
  cleanup need«d to reduce risk to children based on the amount of
  contamination, from all other sources, and the effect of
  contamination levels on  blood-lead levels of children.


REFERENCES

1.  53 FR 31516, August 18,  1988.
2.  53 FR 31521, August 18,  1988.
3.  Preventing Lead Poisoning  in Young Children, January 1985,
    U.S.  Department of Health  and Human Services, Centers for
    Disease Control, 99-2230.

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                                                     9502.1992(01)
             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                        WASHINGTON. D.C. 20460
MEMORANDUM                 ~CR

                                                       OFFICE OF
SUBJECT:  Classification of Infiltration Galleries     WATER
          under the UIC and RCRA Programs

FROM:     James R. Elder, Directo^-^^^"""
          Office of Ground Water and Drinking Water
          Sylvia K. Lowrance, Directors. ^  K.-
          Office of Solid Waste     J^ 1

TO:       Water Management Division Directors
          Regions I - X

          Hazardous Waste Management  Division Directors
          Regions I - X
PURPOSE

     Underground Injection Control  (UIC)  and  Hazardous Waste
Management program offices in a number  of Regions  have requested
clarification on whether or not infiltration  galleries are,  in
fact, Class V injection wells and subject to  UIC program
authorities.  These questions arise  from  alternative,  but
conflicting, readings of the Office  of  Solid  Waste's  (OSW)  final
rule of April 2, 1991 (56 FR 13406)  on  the Tuxicity
Characteristic Leaching Procedure  (TCLP)  rule's compliance  dates
for different types of disposal facilities.

     This rule makes a distinction between injection wells  and
infiltration galleries for RCRA treatment and compliance
schedules, but does not provide a detailed definition  of an
infiltration gallery as opposed to an injection well.   The  rule
granted an extension to the effective date of the  TCLP for
reinjretion of ground water pursuant to hydrocarbon recovery
oper-i-tions undertaken at petroleum refineries and  transportation
facilities.  The notice explicitly declined to extend  the TCLP
rule compliance date for infiltration galleries, implicitly
concluding that no infiltration gallery can be called  an
injection well.  The purpose of this guidance is to provide
clarification as to which type of infiltration galleries may be
classified as injection wells and qualify for the  rule's
compliance date extension, assuming  other conditions,  such  as
location at a refinery, are met.
                                                 Printtd on Ricycled Paptr

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BACKGROUND

     The Agency believes that a wide array of re-injection
mechanisms are and have been termed infiltration galleries,
including such operations as impoundments, pits, ponds and
lagoons.  A literature search conducted for the development of
this guidance has not revealed a single, commonly-accepted
engineering definition for this practice.  Neither UIC nor RCRA
Program regulations define the term infiltration gallery.

     The November 1990 (55 FR 46829) proposed TCLP compliance
date extension for injection wells at hydrocarbon recovery
operations noted that there was insufficient information on the
design and operation of infiltration galleries to determine
whether they should be treated differently from injection wells.
The proposal also requested information on the design and
operation of infiltration galleries to determine if they should
be treated differently from injection wells for the purposes of
the TC rule.

     The most commonly depicted arrangement for infiltration
galleries are devices employed to return treated ground water at
aquifer remediation sites.  Another use for these devices is in
water surply system arrangements where they are designed to
collect., rather than discharge, ground water.  UIC program
research indicates that most infiltration galleries are trenches,
backfilled with a permeable material, through which fluids are
discharged to the sub-surface.  Fluids are distributed through
one or more (vertical) pipes leading to a (horizontal) pipe laid
in the trench.  The intent of these operations offers striking
parallels to commonly-accepted concepts of injection well
operations.
DISCUSSION

     EPA's review of regional submissions of typical infiltration
galleries recognizes that certain types of these galleries, are,
in fact, injection wells and do fall within UIC authorities.  In
the absence of a commonly-accepted definition for these
operations, this guidance is intended to clarify which types of
infiltration galleries are injection wells.  This determination
is based on the regulatory definition of an injection well  (see
40 CFR  § 144.3).

     The basic definition of an injection well is that it is
comprised of a bored, drilled, or driven shaft, or a dug hole,
whose depth is greater than the largest surface dimension, and  is
used for the subsurface emplacement of fluids.  Infiltration
galleries commonly use trenches whose surface dimension is
greater than its depth.  However, these trenches typically
contain multiple vertical pipes for the discharge of treated
ground water to either the gravel filled trench directly or to  a
horizontal, perforated pipe in the fill.

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     For purposes of this guidance, each of these vertical pipes,
individually or in series, should be considered an injection well
subject to UIC authorities.  Conversely, other configurations
(which may also be commonly referred to as infiltration
galleries) such as pits or lagoons are not considered to be
injection wells.

     Attachment A depicts an infiltration gallery which fits
within the definition of "injection well" outlined above.   The
use of such a gallery system also occurs at Class III solution
mining operations.

     These operations (which we recommend calling "injection
galleries" to distinguish them from other types of infiltration
galleries) are a UlC-regulated activity.  Facilities discharging
fluids which are RCRA hazardous waste, as part of an approved
RCRA or CERCLA clean-up operation at a site not addressed by the
TC exemption, may be authorized as Class IV wells in accordance
with 40 CFR § 144.13(c).  Injection operations at sites
specifically authorized by the TC exemption are not considered
hazardous waste injection and would, therefore, be Class V wells.
Any other ground water discharge that follows the prescribed
pattern would be a Class V well.

     The UIC program's highest priority has been and remains
addressing discharges from injection wells which may endanger
underground sources of drinking water (USDWs) when they are used
to dispose of wastes.  Injection galleries operating pursuant to
State or federally-approved remediation actions are not primarily
discharging a waste product, but rather are recycling the
resource to improve, its quality.  These activities are already a
part of an enforcement action, rather than an abuse or
endangerment of ground water, and would not require the
additional environmental controls which can be imposed by the UIC
program.  Such operations should be examined solely to ensure
that adequate safeguards are incorporated into the enforcement
order to protect USDWs.

     Further, a number of additional authorities are available to
address the operation of injection galleries.  Generally, State
ground water protection statutes authorize the regulation of all
discharges to the "waters of the State" in parallel to Clean
Water Act (NPDES) authorities.  Injection galleries, much like
surface impoundments (pits, ponds and lagoons), may therefore be
regulated under these authorities.  In addition, Section 1431 of
v~<5 Safe Drinking Water Act  (SDWA) and Section 7003 of RCRA
provide an avenue of regulatory control in those cases where an
imir.^nent threat of endangerment to USDWs and/or human health and
the environment exists from the operation of an injection
gallery.

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GUIDANCE

     Ground water remediation actions utilizing a method of
discharge termed infiltration galleries should be subject to a
joint review by the UIC and RCRA program directors.  If the
facility can be characterized as an injection gallery in light of
the definitions referenced in this guidance, it is subject to
SDWA requirements as well as RCRA and possibly CERCLA and is
eligible for the TC exemption.  In cases where such remediation
actions are not RCRA or CERCLA authorized, the UIC Director
should decide whether a permitting or enforcement action is
necessary.  Remediation facilities that do not meet this
criteria, such as pits, ponds or lagoons, are to be considered
disposal facilities under RCRA/CERCLA or other State authorities
and are not eligible for the TC exemption.  Such facilities are
not subject to SDWA requirements unless a Section 1431 action is
warranted, but are subject to RCRA hazardous waste disposal
requirements.
CONTACT

     For furthr-- information or questions relating to this
guidance, please contact Lee Whitehurst of the UIC Branch at FTS
260-5532.
Attachment

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INLET
AIR VENT
IfJLET
INLET
IMl.ET
                        NATIVE
                                                                                 rn.
                                  GRAVEL (4 '-15')
                   v
 r///////////// ////////////// ///////////////////////////'
                                      200
                                INFILTRATION   GALLERY

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              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY



                                                    9502.1992(02)
„ _^r*                  WASHINGTON, D.C. 20460
\*«*r
                              AU6 31 1992
                                                       OFFICE OP
                                              SOLID WASTE AMD EMERGENCY RESPONSE
MEMORANDUM

SUBJECT:  Use of the Corrective Action  Management Unit (CAMU)
          Concept

TO:       Waste Management  Division  Directors,  Regions I - X
          RCRA Branch Chiefs, Regions I -  X
          RCRA Regional Counsel,; Regions, I -  X

FROM:     Sylvia Lowrance,  Di
          Office of Solid Wast
           ruce Diamond,
          Office of Waste Programs Enforcement


     At the February  1992 Stabilization  Conference in Colorado
Springs we discussed  the possibility of  implementing the
corrective action management unit  (CAMU)  concept before final
promulgation of the Subpart S regulations.   At that time OSWER
made a commitment to  provide further guidance to the Regions on
how to use existing RCRA regulations to  achieve some of the
remedial benefits of  the CAMU.  The attached document,  "Use of
the Corrective Action Management Unit Concept," provides that
guidance.

     The CAMU portion of Subpart S is on a  current schedule to be
finalized by December 1992.  The attached guidance,  which was
developed jointly by  OSWER and OGC, clarifies the Agency's legal
authority for utilizing a CAMU-like approach before the CAMU rule
is finalized, and provides guidance on when and how to use the
concept.  The concept can be applied during final remedies, and
in the implementation of stabilization actions to reduce imminent
threats and contain releases.  We encourage the use of this
concept whenever the  success of the remedial option at a
particular facility will be enhanced.

     If you have any  questions regarding the content of this
guidance, please call Dave Fagan at  (202) 260-4497.


cc:  Lisa Friedman, OGC
     Henry Longest, OERR
     Kathie Stein, OE
                                                          Printed on RecvclfrrI Par"*

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 &ER&
Office of Solid Waste
                           United States
                           Environmental Protection
                           Agency
                        Office of Solid Waste and
                        Emergency Response
                        Washington, D.C 20460
August 1992
Use  of  the  Corrective
Action  Management  Unit
Concept
  BACKGROUND

         Beginning   in  1992,  EPA   began
  implementing a new strategy to increase the pace
  of cleanup and to achieve positive environmental
  results at  RCRA treatment, storage and disposal
  facilities  (TSDFs)  requiring  corrective action.
  While comprehensive facility cleanup is still the
  long-term goal for the RCRA Corrective Action
  Program,  this  new  initiative emphasizes  the
  importance  of  stabilizing  sites by controlling
  releases and preventing  the  further spread of
  contaminants.

         At most RCRA facilities, stabilization or
  final remedial actions will involve excavation and
  on-site management of contaminated soils, sludges
  and other wastes that are subject to the RCRA
  Subtitle C hazardous waste regulations.  In these
  situations, a  number of issues can arise regarding
  the applicability of certain RCRA  requirements,
  and  how  these requirements may affect  the
  remedial activities.  Specifically, experience in the
  RCRA  and  CERCLA remedial  programs  has
  shown that the  RCRA land disposal restrictions
  (LDRs) and minimum technology requirements
  (MTRs) may limit the types of remedial options
  available at  sites, as well as affect  the types of
  specific technologies that may be used, the volumes
  of materials  that are managed, and other features
  of remedies under consideration.

         Recognizing that strict application of these
  RCRA  requirements  may  limit  or constrain
  desirable  remedies,  including   stabilization
  programs,  EPA is developing  an important
  regulatory concept,  known  as the Corrective
  Action Management Unit (CAMU), to  facilitate
  effective and protective remedial actions.  This
                       concept, first discussed in the proposed Subpart S
                       corrective action regulations (55 FR 30798, July
                       27, 1990), is similar to the Superfund concept of
                       the 'area of contamination," in which broad areas
                       of contamination, often including specif c subunits,
                       are considered to be a single land disposal unit for
                       remedial  purposes.

                             CAMUs may be  particularly useful for
                       specific remedial activities such as consolidation of
                       units or contaminated surficial soils. For example,
                       a  group  of uniined inactive  lagoons that  are
                       continuing sources of releases to groundwater may
                       be best remediated by removing and treating the
                       concentrated wastes in another unit, and excavating
                       the remaining low-concentration contaminated
                       soils from underneath the lagoons.  These  soils
                       could  then  be consolidated and  placed  into a
                       protective and cost-effective single-capped  unit,
                       thereby  controlling  further  releases   to
                       groundwater. In other situations site remediations
                       will require excavation  of large quantities  of
                       relatively low-level contaminated surficial soils.  In
                       these cases a protective and cost-effective remedy
                       might  be to excavate the  soils and consolidate
                       them into a single area or engineered unit within
                       the area  of contamination.  For both of these
                       examples, application of LDRs and possibly MTR
                       requirements would result  in a more costly and
                       complex remedy, that may delay remediation and
                       result in little additional environmental protection
                       for the site.

                             As proposed in the Subpart S rule, there
                       may be  certain  types  of situations  in which
                       application of the CAMU concept (55 FR 30842)
                       would  be inappropriate.    In addition,  several

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 factors (55  FR  30883) may be  considered  by
 decision-makers  in determining  how  CAMUs
 would actually be designated at sites.  Although
 owner/operators may propose a specific area as a
 CAMU, it  is the responsibility of EPA  or the
 authorized State to determine whether a CAMU is
 necessary and appropriate, and, if so, to determine
 the boundaries of the unit.

        The Subpart S regulations have not yet
 been finalized.   However, although  the  CAMU
 concept  has  been presented  only in proposed
 regulations, existing regulatory  authority may  be
 used  to implement this type of approach  in site
 remediations  and  stabilization actions.    The
 Agency's experience with the RCRA and CERCLA
 remedial  programs  indicates  that the CAMU
 concept could be applied  immediately  to great
 advantage  at a  significant number  of  RCRA
 cleanup sites.  This guidance is presented to clarify
 the use  of the CAMU concept  prior to final
 regulations.
 USE   OF  LANDFILL  DESIGNATION
 REMEDIAL PURPOSES
FOR
        Specifically, certain contaminated areas at
sites that require remediation, including groups of
units in such  areas,  may  be designated  as a
"landfill"  under  the  current  RCRA  landfill
definition (40 CFR § 260.10). Designating such an
area of a facility as a landfill within the existing
regulatory framework can achieve remedial benefits
similar to those that would be obtained by  using
CAMUs under the Subpart S proposal.  Prior to
the  promulgation  of final  CAMU  rules,  EPA
encourages  the   use  of  this   approach   at
contaminated sites, where it can promote effective
and   expeditious   remedial  solutions.     EPA
recommends that decisions on designating certain
contaminated areas or groups of units as a landfill
be made in accordance with applicable regulations
and  generally  in accordance  with the CAMU
provisions in the Subpart S proposal

        Owner/operators  proposing  to address
certain areas  at a facility  as a single landfill  for
remedial purposes  should request approval  from
EPA  or  the   authorized  State  agency.   The
Regional Administrator or the authorized  State
Director will be the ultimate decision-maker as to
whether such a landfill unit will help achieve  the
remedial  objectives  at  the   facility.     EPA
recommends decisions to use existing authorities,
waivers, or variances to achieve many of the  same
objectives as the proposed Subpart S rule CAMU
provisions should generally follow the proposed
regulatory provisions (55 FR 30883) and preamble
 discussion   (55   FR  30842)  in  defining  the
 boundaries of the remedial unit.  The Region or
 authorized  State  may also look  to  Superfund
 guidance in the designation of AOCs (55 FR 8758-
 8760).

        Designating an area of contamination as a
 "landfill" will require that the unit comply with
 certain RCRA requirements that are applicable to
 landfills. The specific requirements that apply will
 differ, depending on  whether  the   landfill   is
 considered to be: (1) an existing non-regulated
 landfill, or (2) a regulated hazardous waste landfill.
 This distinction  is determined by  the regulatory.
 status of the units or areas  that are  included as
 pan of the landfill.    The  following discussion
 explains further the requirements  associated with
 these two types of landfills.

 Existing Non-Regulated Landfills

        Figure 1 shows an area of contamination
 at a facility that  includes several land-based solid
 waste management units  (SWMUs) that are not
 regulated as hazardous waste units under RCRA
 (e.g., because all of the disposal occurred before
 the RCRA hazardous waste regulations went into
 effect). By designating this area as a single landfill,
 EPA can approve movement and consolidation of
 hazardous wastes  and soils contaminated  with
 hazardous waste within the unit boundary, without
 triggering the LDRs or  MTRs.   For example,
 contaminated soils in and around SWMUs 1 and 2
 could be consolidated into SWMU 3  and capped
without triggering LDR requirements.

        This landfill  would not be subject to the
 RCRA Part 264 or Part 265 design and operating
 requirements for hazardous waste landfills. This is
 because  the  landfill  would not  have  received
 hazardous waste after November 19, 1980. (See 40
 CFR § 270. l(c)).  In the  absence of specific Pan
 264  or  265   requirements  for such  units,
appropriate ground water monitoring  and closure
 requirements for the landfill can be determined by
 EPA or the State as  part of the corrective action
 remedial  decision-making   process.     These
 requirements would be based on an assessment of
site specific factors, such  as waste characteristics,
site hydrogeology,  exposure potential, and other
 factors.  This allows the regulator further flexibility
 in designing remedial solutions which are  effective
and protective based  on actual site conditions.

       These  non-regulated   landfills  would
 remain exempt from regulation under Parts 264
and 265, under the following circumstances:

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                                                  FIGURE 1
                               EXISTING NON-REGULATED LANDFILL
                                                      Contaminated Soil
Facility Boundary
              Uncontaminated  Soil
         The  landfill cannot  receive  hazardous
         waste from other units, either on-site or
         off-site.   The  landfill  could,  however,
         receive  non-hazardous wastes as part of
         the cleanup actions.  If it were to receive
         hazardous  waste,  the  landfill  would
         become  a  regulated  unit (40 CFR  §
         270. l(c)) subject  to the requirements of
         Subparts F (40 CFR § 264.90) and G (40
         CFR §  264.110).  The  facility permit
         would have to be  modified  accordingly
         (for  interim status  facilities, a change
         would have to be approved under 40 CFR
         § 270.72), and the wastes would have to be
         treated  to  comply with applicable LDR
         standards  prior  to  placement in  the
         landfill

         If hazardous waste treatment  (including
         in-situ treatment) takes place within the
         landfill, the owner/operator must comply
         with  all Pan  264 or  265 requirements
         applicable to the treatment unit, and must
         modify  the permit or Part A to include
         the new treatment unit

         Similarly, residuals  from  treatment  of
         hazardous wastes  that  have been removed
         from the landfill and treated in a non-
       land-based unit cannot be redeposited into
       the landfill unless the residuals meet the
       LDRs.    If  the  residuals  were  still
       hazardous   by  characteristic   or  still
       contained hazardous wastes, disposal of
       the  residuals into  the  landfill  would
       require the landfill  to be  designated a
       "regulated unit,' as the unit would have
       received hazardous waste  after July  26,
       1982.

•      Hazardous wastes transferred  from  the
       non-regulated landfill to another land-
       based unit would also have to meet LDR
       standards.

Regulated Landfills

       Figure 2 shows an area of contamination
that  could be  designated as a  landfill, which
contains two regulated units (as defined in 40 CFR
§ 264.90). As with the previous example in Figure
1, designating this area as a  landfill  would allow
wastes to be moved and consolidated within  the
area without triggering  the  LDRs.   However,
because this landfill contains regulated units,  the
entire area must be considered a regulated unit.
Accordingly,  the  following requirements would
apply:

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                                          FIGURE 2
                                 REGULATED LANDFILL
                                                                        urface  Impoundments
                                                  Contaminated Soil
Facility Boundary
                Uncontaminated  Soil
  •      The  unit  boundaries  of the  original
         regulated units that were specified on the
         Pan A or Part B application would  have
         to  be redesignated  to  encompass  the
         entire new landfill unit, according to the
         applicable  procedures  in  40  CFR §§
         270.72, 270.41 or 270.42.

  •      The landfill would have to comply  with
         applicable Pan 264 or 265 requirements
         for  landfills, including  the  Subpan F
         ground  water  monitoring requirements
         and  Subpan G closure and post-closure
         requirements.  Subpan  F requirements
         would generally  involve  installation of
         additional ground water monitoring wells.
         Compliance with Subpan G would likely
         also require modifications to  the closure
         and post-closure plans for the unit

         MTRs would not necessarily apply to these
  newly designated regulated landfills. If the original
  regulated unit located within the landfill was not
  subject to the MTRs (i.e., the landfill was not new
  or expanding after 1984), the landfill  could be
  considered by the Agency or authorized State to be
  a redesignation of that existing unit, rather than a
  lateral expansion.  As such, the landfill would not
  be subject to the MTRs. However, if the  regulated
unit  encompassed by the landfill was originally
subject to MTRs, the entire area of the landfill
would be subject to MTRs.

SUMMARY

       Existing   regulatory   standards   (e.g.,
replacement of treatment residuals into the CAMU
triggers the LDRs) cannot be waived to implement
the CAMU  concept prior to a  final  CAMU
rulemaking. EPA is considering removing some of
these limitations in the final rule.  Nonetheless,
despite these current limitations, there may be a
number of situations where the  use of landfills can
yield substantial benefits  in  remediating  sites.
EPA recommends that the guidance provided in
this fact sheet be used in evaluating the use of
landfills   to  implement  timely  and  protective
corrective actions at RCRA facilities.

FOR FURTHER INFORMATION

       Inquiries   concerning   the   guidance
contained in  this fact sheet should be directed to
Dave Fagan (202) 260-4497, or Anne Price (202)
260-6725.

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                                                        9502.1993(01)





  1	'- ^       UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                         WASHINGTON, D.C. 20460
                           MAY  11933
                                                       OFFICE OF
                                              SOLID WASTE AND EMERGENCY RESPONSE


Doug MacMillan
Institute of Chemical Waste Management
1730 Rhode Island Ave., NW
Suite 1000
Washington, DC 20036

Dear Mr. MacMillan:

     I am writing in response to your letter of January  28,  1993,
in which you expressed several concerns regarding the potential
effect that the newly promulgated regulations for corrective
action management units (CAMUs) may have on the management of
"as-generated" hazardous wastes.

     As I understand from your letter, and from subsequent
discussions with my staff, your primary concern is that  as-
generated containerized hazardous wastes being stored at a
facility could be considered remediation wastes, and therefore
could be managed at an area of a facility that has been
designated as a CAMU, with the effect that those wastes would no
longer be subject to the RCRA land disposal requirements, or to
minimum technology requirements.

     Let me assure you unequivocally that it was not the Agency's
intent in promulgating this regulation to allow or to encourage
such waste management practices; furthermore, the regulations as
finalized prohibit such practices.  As stated in the regulations,
and as explained in the preamble, CAMUs may only be used for the
management of remediation wastes (40 CFR $260.10; 58 FR  8663-4),
and only for the purpose of implementing remedial actions  (e.g.,
corrective actions under RCRA 3004(u) or 3008(h) authorities).
The concept of remediation wastes is somewhat new to RCRA, and I
agree that it is important to have a clear understanding of  what
these wastes are, and the limitations on the use of the CAMU
concept in regard to management of "as-generated" hazardous
wastes.

     As-generated hazardous wastes, whether containerized or non-
containerized, are subject to the full set of Subtitle C
requirements applicable to treatment, storage and disposal of
hazardous wastes.  These regulations are designed with the
primary goal of preventing such wastes from creating environ-
mental contamination problems that require remediation.  Thus, so
long as as-generated hazardous wastes are managed in accordance
with applicable RCRA standards and regulations, there should be

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no need to "remediate" those wastes.

     In contrast, remediation wastes as defined in the CAMU rule
include only wastes that are generated and managed for the
purpose of implementing corrective actions at facilities.  It is
this purpose—cleanup of environmental problems resulting from
historic waste mismanagement practices—that is fundamental to
the concept of remediation wastes.  In the preamble to the CAMU
rule we articulated the inherent differences between cleanup
(i.e., corrective action) and management of as-generated, or
"new" wastes.  The Agency's rationale for promulgating the CAMU
rule is tied directly to our conclusion that cleanup is a
fundamentally different activity than management of as-generated
wastes, and that RCRA requirements for management of cleanup
wastes can and should differ from those for as-generated wastes.

     As stated in the preamble of the final CAMU rule (58 FR
8664), "Today's definition of remediation waste excludes 'new' or
as-generated wastes (either hazardous or non-hazardous)  that are
generated from ongoing industrial operations at a facility."
Further, the regulatory definition of remediation waste in the
final rule is limited to wastes "...that are managed for the
purpose of implementing corrective action requirements under
S264.101 and RCRA section 3008(h)." (40 CFR §260.10)  In crafting
the definition of remediation waste in this way (particularly
when the definition is read together with the preamble
discussion), we believe that it is clear that CAMUs are not to be
used for management of as-generated wastes.  However, we
understand your concern that if read alone, the definition might
mislead some readers or allow some room for abuse.  We are
currently developing guidance for EPA and State decision makers
on implementation of the CAMU rule.  Among other things, the
guidance will emphasize that containerized as-generated wastes
that are stored at RCRA facilities cannot be managed in CAMUs.
In addition, we are. willing to consider adding a clarification-to
the regulation that would specifically exclude management of as-
generated wastes in CAMUs, as well as in temporary units.  I
would welcome further discussions with you and your organization
on this matter.

     In your letter you suggested that owner/operators might have
incentives to stockpile containerized as-generated wastes, for
subsequent treatment and disposal in CAMUs^.  As explained above,
such wastes would be as-generated wastes, not eligible for
placement in a CAMU (unless all applicable Subtitle C
requirements, including the land disposal restrictions,  were
satisfied).  Furthermore, in storage the wastes would be subject
to the applicable "prevention" requirements of Subtitle C, which
should serve to ensure that they are not mismanaged such that
"cleanup" of the wastes would be required.  If an owner/operator
were to mismanage such wastes, for example, by dumping the wastes
with the intent that the wastes would then become remediation
wastes, such activities would clearly be illegal,  and subject to
the substantial civil and/or criminal penalties under RCRA,  as

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well as possible liabilities under CERCLA.  In addition, such
purposeful dumping of wastes would likely result in contamination
of large volumes of soils or other media, and the costs of the
required cleanup could be many times the costs of complying with
the Subtitle C prevention standards.  Thus, we do not believe
that the CAMU concept realistically creates an incentive for
mismanagement of as-generated wastes.

     As an additional safeguard, it should be emphasized that
CAMUs may only be designated by EPA or an authorized State; an
owner/operator could not himself simply designate an area of a
facility as a CAMU, as a means of changing the requirements that
would apply to those wastes.

     In your letter you suggested amending the CAMU regulation to
restrict the definition of remediation waste to contaminated
media resulting from corrective action at a facility.  I would
like to clarify that in the CAMU rule the Agency did not intend
to distinguish between contaminated media and other cleanup
wastes.  By restricting the definition to contaminated media,
certain other cleanup wastes could not be managed in CAMUs, such
as sludges disposed of before 1980.  As explained in the preamble
to the rule, the CAMU concept is a response to the inherent
differences in the objectives and incentives of remediation of
"old" wastes, as distinguished from management of "new" wastes.
Since remediation of facilities will often involve management of
sludges and other pre-RCRA wastes that would not be considered
contaminated media, we do not believe that it would be
appropriate to amend the CAMU regulations to apply only to
contaminated media.

     As you know, many of the issues addressed in the CAMU rule
are now being discussed in the context of the HWIR Forum, in
which you have been actively involved.  As we have discussed in
the Forum, a major component of the HWIR discussions focuses on
contaminated media; this important dialogue is thus an
opportunity to reevaluate many of the issues associated with
remediation, as well as requirements for as-generated hazardous
wastes.  It is possible that the HWIR dialogue will result in
substantial revisions to the existing RCRA regulations that
address management of remediation wastes, including the CAMU
regulations.  If so, the Agency is committed to reviewing the
need for changes to those regulations.  I p.ook forward to the
continued participation of ICWMA in these discussions.

     I hope this has been responsive to the concerns raised in
your letter.  If you have any further questions, please do not
hesitate to contact me or Dave Fagan  ((703) 308-8620).
                                           ./tA,—'
                              Sylvia'K. Lowrance
                              Director, Office of Solid Waste

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  .ito sr4>
 
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the National Registry of Environmental Professionals.  However,
the definitions do state that a person conducting a particular
activity must have the appropriate training and experience.
Further, under 40 CFR 271.1(i)(l), States are allowed to adopt or
enforce provisions which are more stringent or broader in scope
than the federal RCRA provisions.

     I hope that this information has been helpful.  If you
have further questions, please call Wayne Roepe of my staff at
(703) 308-8630.

                              Sincerely yours,
                               Oichael Shapiro, Director
                               ffice of Solid Waste
Enclosure

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             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

                        WASHINGTON, D.C. 20460
                           FEB  IT :S90            9502.1995(01)
                                                          OFFICE OF
                                                     SOUO WASTE AND EMERGENCY
                                                          RESPONSE
MEMORANDUM

SUBJECT:  CAMU at U.S.S.  Lead Facility
FROM:     Devereaux Barnes,
          Permits  and State  Programs Division,  OSW

TO:       Norm Jiliedergang, Director
          Office of RCRA, '. Region V


     Recently we have had several discussions with your staff
regarding the approval of a  corrective action management unit
(CAMU) at the U.S.S.  Lead Refinery facility in East Chicago,
Indiana.  In those discussions we were asked to provide the
Agency's position  on  the specific question of whether a §3008 (h)
enforcement order  is  an appropriate mechanism for approving a
CAMU at this facility.  As you know, interim status for this
facility was terminated under the provisions of RCRA §3005 (e) .

     It is the Agency's position that §3008 (h)  orders are an
appropriate mechanism for approval of CAMUs at facilities that
have lost interim  status pursuant to §3005 (e).    Other types of
hazardous waste management units (e.g., tanks,  piles) that may be
needed to implement remedial actions at facilities like U.S.S.
Lead may also be approved under §3008 (h)  orders.  This
interpretation of  the scope  of §3008 (h) authority is supported by
the broad language of §3008 (h) (providing for "corrective action
or such other response measure as. . .necessary to protect human
health or the environment") .  The legislative history supports
this interpretation  in that  the conference report indicates that
the  intent was to  allow EPA to address ongoing problems without  a
permit.   In addition, EPA's  longstanding interpretation is that
§3008 (h) applies  to  LOIS facilities as well as facilities that
are  currently operating under interim status, and the CAMU rule
itself  imposes no  limits on this interpretation.  See memo from
J. Winston Porter, "Intepretation of Section 3008 (h) of the Solid
Waste Disposal Act"   (Dec. 16, 1985).

     We believe  that this is a reasonable reading of the statute.
Based on  this  interpretation, RCRA permits are not necessary  for
such units  as  long as they are part of the selected remedy (or
interim measure) ,  and they are specifically authorized under  the
§3008 (h)  order.   Furthermore, we believe that from a policy

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perspective, permits would generally be inappropriate in these
circumstances, since they would likely have the effect of
delaying cleanup and adding to procedural costs without
increasing environmental protection.  As explained in the
preamble to the CAMU rule  (58 PR 8676, February 16, 1993) , public
participation procedures similar to those for Class III permit
modifications should be followed in approving CAMUs under
§3008(h) corrective action orders.

      If you or your staff have more specific questions about the
use of orders to approve CAMUs and other types of units, you may
wish  to contact Barbara Pace in the Office of General Counsel,  at
 (202) 26*0-7713, or Dave Pagan of my staff at (703) 308-8620.
Please let us know if we can be of any further assistance.

cc:   Joe Boyle
      Kevin Pierard
      Barbara  Pace
      Larry Starfield

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                      HOTLINE QUESTIONS AND ANSWERS
                                    February 1995
                                                                9502.1995(02!
                 RCRA
 2.  Corrective Action Authorities   -.
              .' "' •         '

    RCRA §3004(u) requires corrective action
for all releases of hazardous.waste or   ..  .'
 hazardous constituents from soM waste.
 management units (SWMUs) at permitted
 hazardous waste treatment, storage, and
 disposal facilities (TSDFs). Is RCRA
corrective-aaion limited to releases from
SWMUs? :    '"' ••'.;•"•     ;• :      -.
        "- '           • * "          r
   Any release of solid or hazardous waste
which poses a threat to health or the
environment is potentially subject to RCRA
remedial authority. To this end, RCRA
provides EPA with several distinct authorities
to require connective action for contamination
stemming from sources other than SWMUs.
A SWMU is a discernible unit in which solid
wastes have been placed at any time,
irrespective of whether me unit was intended
for me management of solid or hazardous
wastes.  This definition includes any area at a
facility, at which solid wastes have been
routinely and systematically released.  RCRA  '
§3004{u), which is specifically liTrrirrd to
releases from SWMUs, is the primary  .
authority reqtming conective.actioa at
permitted TSDFi Section 3004(u) requires a
facility owner or operator to address releases
from SWMUs whenever seeking a RCRA
permit.
••    Many potential rdeases at permitted  .
 TSDFs do opt originate from SWMUs, -
 however, and are not subject to (3004 cleanup
 requirements. For example, a one-time spill
 of hazardous waste froou vehicle traveling
 acrossa facility is not m release from a
 SWMU. For such releases not originating
 from SWMUs at permitted TSDFs, and for
 releases at TSDFs with permits that pro-date
 HSWA and which therefore dp not contain*
 §3004(u) provisions, EPA may choose to use
 its omnibus permitting authority pursuant to
 RCRA §3005(cX3) to modify the facility's
•permit as necessary to require corrective
 action for any potential threat to human health
 or the environment  Additionally, RCRA  .
 §3004(v), which is not limited to releases
 from SWMUs, requires TSDFs to cleanup
 contamination beyond the facility boundary of
 a permitted TSDF.             *

    RCRA also provides EPA with the author-
 ity to issue admkustrative corrective action
 orders or bring suit in a United States District
 Court against TSDFs operating under interim
 statris. The interim status TSDF corrective
 action order authority, provided by RCRA
 §3008(10, is not limited to releases from
 SWMUs or any other type of .unit EPA can
 invoke §3008(h) to address any release of
 hazardous waste from an interim status facil-
 ity. Section 3008(h) gives EPA authority to
 issue corrective action orders or bring suit for
 both on-site releases at interim status facilities
 and releases which have migrated beyond an  ;
interim status facility boundary.

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    Finally, RCRA §7003 gives EPA broad
 authority to abate hazards caused by releases
 of solid or hazardous waste from any source,
 including SWMUs. Specifically, §7003
 provides EPA .with the authority to seek
 ihjuncdve relief in the appropriate United
 States District Court, or, after notice, to the
 affected state, issue administrative corrective
'action orders for releases from any she where
 the handling, storage, treatment, transportation
 or disposal of solid of hazardous waste may
 pose an imminent and substantial endanger-
 ment to health or the'environment Use of
 §7003 is hot limited to any particular type of
 facility or waste unit'                .

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                UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                              WASHINGTON, D.C. 20460
                                  OCT  181995              9502.1995(03)

                                                                       OFFICE OF
                                                                 SOLD WASTE AND EMERGENCY
                                                                       RESPONSE
ML Mullins, Vice President
Regulatory Affairs
Chemical Manufacturing Association (CMA)
2501 M St, NW
Washington, DC 20037

Dear Mr. Mullins:

      This letter is in response to your letter of August 22, 1995 in which you expressed
CMA's concern regarding the Agency's plans to "disallow continued use of the corrective
action management unit (CAMU) provision" that was promulgated on February 16, 1993
(55 FR 8658).

      As I believe you know, the CAMU rule was the Agency's initial attempt at
resolving many of the problems that have been encountered by EPA State remediation
programs in applying the prevention-oriented Subtitle C regulations to the management
of remedial wastes.  The Agency continues to support the need for flexibility in this area;
however, some parties have argued that the CAMU rule allows regulators too much
discretion in determining appropriate, site-specific management requirements for
remediation wastes. In recognition of this view,, the Agency agreed to evaluate whether
the CAMU regulations should be modified or replaced with a different regulatory
approach. As an outcome of this process, the Agency agreed the CAMU regulation
should be replaced with the Hazardous Waste  Identification Rule for Contaminated
Media (HWIR-Media).  The Agency is currently planning to propose the HWIR-media
rule in December of this year and issue final regulations in March 1997.

      The Agency believes that much of the site-specific flexibility provided in the
CAMU will be preserved based on the current version of the draft HWIR-media
regulation, especially for less-contaminated media.  Furthermore, the Agency intends to
include a provision in the proposed HWIR-media rule that would in effect "grandfather"
CAMUs  that were approved before the HWIR-media rule is issued final   However, no
new CAMUs could be approved after the that date. The Agency believes that this
"grandfathering" provision, if finalized, would will result in minimal disruptions to
cleanups involving CAMUs that are planned ^or underway. It should be noted, however,
that the Agency plans to ask for coment in life proposal as to  whether  grandfatHe  ing"  .
of CAMUs is appropriate, and, in particular, whether the Agency should set a date upon
which approval of "grandfathered" CAMUs would expire.
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                                                      "','
                                       -2-
      In the interim, our recommendation to both the regulators and the regulated
community is to use a CAMU if it truly provides the best alternative for a site (and the
AOC concept, which is a concept independent of the CAMU rule, cannot be used). Of
course, the most conservative course of action would be to use a CAMU only if it can be
completed prior to publication of the final HWIR-msdia rule.

      I hope that this letter helps to clarify the basis for our current plans.  If you have
any questions regarding the HWIR-media rule and its impact on the CAMU rule, please
call Carolyn Hosltincon at 703/308-8626. Questions regarding the AOC concept should
be directed either to Hugh Davis at 703/308-8633 or Elizabeth McManus at 703/308-
8657.                           ,
                                     Sincerely,
                                             Shapiro, Director
                                            f Solid Waste

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                                  or
                           CHEMICAL MANUFACTURERS ASSOCIATION
  _
Vcafntidart-tegutBtixyAMiri .                           AugUSt 22,1995
    Mr. Michael H. Shapiro, Director
    Office of Solid Waste (5301)
    US. Environmental Protection Agency
    401M Street S.W.          -
    Washington, D.C 20460
     * •      •"*-,"
          Re: Collective Action Management Unto

    Dear Mr.
         - Trie Chemical Manufacturers Association (CMA) is concerned by reports that
    EPA, in the context of die upcoming HWTR cor>|am*"atad mcdi? py^poffalj plane to .
    disallow continued use of the coirective action management unit (CAMU) provision. -
    that was promulgated on February 16,1993 (58 FR 8658).   ••?••"

    -      EPA has recognised that "remediation of existing contamination problems is
    inherently different from the management of i^-ger^rated industrial waste* (58 FR
    8660) and that "the existing regulatory structure ofRCRA Subtitle C when applied to
    management of hazardous waste for remedial purposes, can often seriously hamper the
    ability of decision makers to >elect and implement yffrcHve/ protective, and cost
    effective remedies" (58 FR 8659). The Agency promulgated the CAMlf provision to:
    provide remedial decision makers with an added measure of flexibility in order to ^
                                        Many CMA member companies have found
    the CAMU provision to be highly successful in that regard. It has afforded valuable
    and m^irh iwHpH fh>vfl>i]|tfy ^nd fr** «Jgnlf?efln0y ^XP^dftP^ t*rnfl^ia*frm efforts by
    removing many of the impediments that existed under Subtitle C.           .   .
                           "        *       .**'••'•     •"          .
          In her statement before the US. House of Representatives Committee on Science
    on January 6,1995, Administrator Browner said:     •.•••'•

          •AD of us are committed to protecting public health and our air, land, x
          and water. At EPA we warn to implement these corju^
          most cost effective way possible. But to do this, we must move beyond a
          "one size fits alT regulatory approach towards a more common sense
          approach - an approach mat uses flexibility, creativity, and innovation in
          reaching these goals."                •    >

          CMA believes that the CAMU provision is an excellent example of focused
    regulation that provides considerable flexibility, fosters creativity • and enables
    expedited dean-ut> of contaminated hazardous wante (rite* in « mm*

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 August 22,
      .                            ,     ....      .       ,     ... .. .
 manner. To disallow this sensible and valuable provision would be totally inconsistent
 with the many CA-going EPA regulator^
 achieving meaningful regulatory reform, it mast stand behind the good progress it has
-made with the CAMU provision aiuicontiriueio work tolden^^       ::~'-' '* '**'C\
 opportunities, to better 'focus regulations b «
 flexible cost effective manner. To disallow me CAMU precision would be a giant step
 backward. .-•    •    '        . • .   .: •     '  ; •"  '•  '  -. :_ :.     •'    .

       CMA recognizes mat some parties have challenged the legal and policy basis of
'the CAMU and temporary unit (TU) rules. CMA urges .the Agency^ tp vigorously ..;
 OOTipanies have invjEiste^                    effort in^^oratingCAMUs into their
              ^^iBtfiy have been approved and ar£pxeseii^           others/1 ,
 are neafing'Sna approval EPA has provided^" )ustificitito
•prbtecfiye pradices that haVe been initiated uruier,theCA^^                  •; ' '^':
 minimum, EPA must gxandfath^e^ds^ G^MUs to protect ttie ^mvestm^j^ %;;./;
 facilities have ifiadp in j)lannin£, obtaining appfnV'j> Viarid fanplpinf ^n^ i>tf tpnyfrdfal ^-'^ "- k.
 information, please contact

                                            Sincerely,
^.smM^.^-i^-r-.v.::. ,".••-.•••v;;.
"•XA -^>S^:-^-:;^--V;- <-
vO Vvcr^-^Vv • 7/fo   -:    :
                                           , Vke President - Regulatory Affairs
 ,cc  .MatthewHale,JrvDirector
       Perm its and State Programs Division'
       Office of Solid Waste .

       Robirt Han Chief            -
       Corrective Action Programs Branch,
       Office of Solid Waste'

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    run
HOTLINE QUESTIONS AND ANSWERS

               January 1996
9502.1996(01)
 4.  Corrective Action Beyond Interim
    Status Facility Boundary    .

   '. RCRA §3004(v) requires owners/operators
 of. permitted hazardous waste treatment, .
• storage, and disposal facilities (TSDFs) to
 perform corrective action for any .
 contamination that has migrated beyond the
facility boundary. What authorities can EPA
 use to order Corrective action for releases
 which have migrated beyond the boundary of .
 an interim status facility?               .

    EPA can invoke §30Q8(h) or §7003
 authority to address releases that have migrated
 beyond an interim status facility boundary.
 Pursuant to §3008(h), EPA can order
 corrective action or bring suit for the "release
 of hazardous waste into the environment" from
 a facility that is interim status, should have had
 interim status, or formerly had interim status.
This includes authority for releases which have
migrated beyond the facility boundary.
Although §3008(h) does.not explicitly state
that EPA can order corrective action .beyond an
interim status facility boundary, EPA interprets
the §3008(h) statutory authority to be at least
as broad as the permitted facility corrective
action authorities in §§3004(u) and (v) (50 FR
28716; July 15,1985).  Thus, because
§3004(v) explicitly provides authority for
corrective action beyond a permitted facility
boundary, §3008(h) provides parallel authority
for releases beyond an interim status boundary.
                       .  Section 7003 gives EPA the power to order
                      corrective action or bring1 suit to abate
                      imminent and substantial enddngerment caused
                      by the past or present handling, storage,
                      treatment, transport, or disposal of any solid or
                      hazardous waste. This broad and powerful
                      authority is not limited to any particular kind
                      of RCRA site. Section 7003 is, therefore, also
                      potentially applicable to contamination which
                      has migrated beyond the boundary-of an
                      interim status facility.

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  ,<
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advance approval at the Federal  level.  When  the AOC  concept  is
applied outside the context of an overseen  cleanup  action, EPA
encourages consultation with  the appropriate  agency and routinely
'cautions individuals that mis-application of  the AOC  concept
could, potentially, result in substantial fines and penalties
associated with improper disposal of hazardous waste.   EPA also
routinely cautions individuals that state standards may be more
stringent and may require oversight or advance approval of all
AOCs.

     In your letter, you mention the specific concern that
individuals could store soils contaminated  with hazardous wastes
in temporary piles anywhere within an overall area  of
contamination while installing pipelines qr^foundation footings
and then replace the soil, "all  with no RCRA-regulatory
requirements or governmental oversight."  wV.note tljat, while
movement of soil contaminated with hazardous»,waste  within an  area
of contamination would not typically trigger RCRA,  the AOC
concept in no way shields individuals from  otherwise  applicable
cleanup requirements.  For example, in many states  discovery  of
contaminated soils triggers reporting requirements  under the
state cleanup program.  In these cases, .if  a state  determined
that cleanup was warranted it could require management  or removal
of contaminated soils, independent of RCRA.  We believe that,
addressing potential cleanup needs for contaminated soils
discovered during normal earthmoving and grading activities using
cleanup laws is more appropriate than imposing the  RCRA
permitting process on these activities.

     Thank you for your concern regarding the AOC concept.  EPA
continues to believe that proper application of this concept will
support appropriate remedies and expedite cleanup processes,  not
encourage avoidance of legitimate cleanup obligations.  For
additional information, your staff may wish to contact Elizabeth
McManus or Hugh Davis, of my staff,  at (703)  308-8657 and (703)
308-8633,  respectively.


                              Sincerely yours,
                              Michaal Shapiro, Director
                              Offiofe of Solid Waste-
Enclosure

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Micnaei 0. Zaqaia
 Commissioner
New York State Department of Environmental Conservation
Division of Solid & Hazardous Materials
 0 Woif Road. Albany. New York  12233 - 7250
 ivision of Solid & Hazardous Materials
(518) 457-6934  FAX  (518) 457-0629
                                         FEB 1.41996

     Mr. Michael  Shapiro
    - Office  of Solid Waste MC5301
     U.S...Environmental  Protection Agency
     401 M St., S.W. -
     Washington,  D.C.  20460

     Dear Mr.  Shapiro:

          We need your clarification  of an important issue regarding
     the CERCLA Area of  Contamination (AOC)  concept and its
     applicability  to  routine excavations where soils containing
     hazardous waste or  exhibiting a  hazardous waste characteristic
     may be  encountered.

          These routine  excavations can occur at construction sites or
     pipeline trenches where  soils are temporarily removed and
     subsequently redeposited in  the  same excavated area.

          Our specific concern is whether a June 11, 1992 guidance
     letter  from  Ms. Sylvia K.  Lowrance,  Director, Office of Solid
     Waste (EPA), to Mr.  Douglas  H. Green (see Enclosure No.l)
     properly extended the AOC concept to excavations at non-CERCLA
     sites or other sites without any federal or authorized state
     oversight.   This  June 11,  1992 letter is being taken at "face
     value"  as allowing  contractors to routinely excavate what may be
     regulated hazardous waste soil,  store it in temporary piles
     anywhere in  the overall  area of  contamination while installing
     pipelines or foundation  footings,  and then  replace the soil, all
     with no  RCRA regulatory  requirements or governmental oversight.

          We  question  if this June 11,  1992  letter was meant to have
     broadly  sanctioned  such  activities.   We need your guidance in
     this matter.

          The AOC concept, as described in such  documents as the EPA
     memorandum of  April 17,  1989 signed by Jonathan Z. Cannon (see
     Enclosure No.  2)  and EPA Superfund LDR Guide #5, "Determining
     When Land Disposal  Requirements  (LDRs)  Are  Applicable to CERCLA
     Response Actions" (see Enclosure No.  3),  is used only in CERCLA
     contexts.
                           i
          EPA's letter of January 7,  1991 signed by Don R. Clay,
     Assistant Administrator  (see Enclosure No.  4), extended the AOC
     concept  to RCRA Corrective Action sites,  but cautioned that
     "designation of an  AOC is a  function performed by the regulatory
     agency."

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Mr. Michael Shapiro
    2.
     The EPA June 11, 1992 letter, however, extended the AOC
concept to essentially any temporary excavation activities
anywhere.

     We hereby request that your office reexamine the reasoning
behind this EPA June 11, 1992 letter (see Enclosure No. 1) and
determine whether it properly broadened the AOC concept to
sanction such activities, even at ordinary construction sites.
     Thank you for helping us with this important matter.
call me if you have any questions.
                          Sincerely,
Please
                         'Norman H. Nosenchuck, P.E.
                          Director
                          Division of Solid & Hazardous Materials
Enclosures

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$ ^% ro       UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
        *                  WASHINGTON. D.C. 20460
                                      '  „.       .          9502.1996(03)
                                   •APR 24.1996.        ;

                                                            OFFICE OF
                                                       SOLID WASTE AND EMERGENCY
                                                            RESPONSE

 .The Honorable Michael J. Collins
 Maryland General Assembly .
 Senate of Maryland
 216 James Building
 Annapolis, Maryland 21401-1991

 Dear Senator Collins:      ;   ••-•_-

       Thank you for your letter of March  1, 1996  to Administrator
 Browner urging the Environmental Protection-Agency (EPA)  to look
 into the performance and safe applicability  of cold-mix
 technologies and bioremediation  for petroleum-contaminated sites.

       As indicated in my earlier  response to  you  on March 25,  '
 1996,  we have been gathering the latest  information  on these
 technologies fromrour research laboratory  in Cincinnati,  Ohio to
 provide-.you^ with some valid information.

       To respond to your specific concerns, we'll be  addressing
 the issues pertaining to cold-mixing ^technologies and
 bioremediation separately in the following paragraphs.

       Cold-mixing Technologies:   All asphalt-based or cement-based -
 mixtures are generally covered under Solidification/Stabilization
  (S/S)  technologies by EPA. .The  term" cold-mix for Portland cement
 mixtures may.not.be scientifically  appropriate-because 'of: the
 fact that a mixture .of Portland  cement and -water causes aft ' -
 exothermic reaction7~thereby generating  some heat.

       Appropriateness of. S/S for  organics is  addressed
 specifically Tn the attached report (Attachment  1)f
 "Solidification/Stabilization: Is it always  appropriate?" by
 Carlt.on Wiles et al. from the EPA research laboratory in
 Cincinnati,*. OH. It is clearly stated in  this report  that the
 opportunities to capture and contain organic materials in a
 cement-based solidification -process-are  limited"- (p."  4).  Also,
 referring to the EPA document cited in your  -letter,  EPA/530/R-
 93/012, it states that all other factors being approximately. '
 equal, destruction or extraction technologies^are preferred to
 S/S because they eliminate "or remove the contaminant as opposed
 to just immobilizing it (p. 2-59).  It also  states that S/S -
 treatment is frequently appropriate for  the  residuals remaining
 after the use of one of these other technologies,  or for soils

                                                       Recycled/Recyclable
                                                       Printed with Soy/C«nota Ink on paper mat
                                                       contains «t lent 50% recycled fiber

-------
 after the use of  one of  these  other  technologies,  or for soils
 and sludges  containing low concentrations  of  organics (p.  4-48).
 In general,  generic binders  such  as  Portland  cement do a poor job
 of immobilizing organics, with the exception  of highly polar
 compounds in low  to moderate concentrations  (p.  2-59).   While
 this is true,.Portland cement  is  rarely used  by itself as a
 binder to S/S organic waste.   Additives such  as carbon or
 modified clays are usually added  to  the S/S formula.   However,
 the long term effectiveness  of these additives  has not been
 established.                   '

      About leaching possibilities of contaminants  once treated by
~ S/S-.,. technologies, results of leach tests for  a  few .organics. are
 shown-on -Figure 2, at the back of Attachment  1.  Very limited data
 exist on •leachin'g possibilities of the S/S treated matrix^.  Leach
 tests 'Shown  on Figure 2  were conducted^OBgrcement: containing
 charcoal' with adsorbed phenol, ^chlpjcqpheiivaiLy  arid---2-r3-- '   •   "-
 dichlorophenol.   There is-"always : a possibility "that contaminants
 can leach £fom any medium; if they-are present..   This is
 especially true for non-aqueous phases mixed  with  non-compatible
 material-.;  For these reasons,  treatability tests incorporating
 leaching"evaluation and.physical  durability^are recommended.

      As indicated in EPA's Best Demonstrated  Available Technology
 (BDAT)  background document for hazardous soils,  August 1993,  (p.
 4-95) organic hazardous  constituents have  not been shown to be
 stabilized using  cementitous and  pozzolanic stabilization' agents
 because organic hazardous constituents generally do not react to
 form insoluble silicates or  hydroxides. Thus, the  Resource
 Conservation and  Recovery Act  (RCRA) program  would not  consider
 S/S technologies  as a BDAT for treatment of commonly encountered
 petroleum wastes.. However,  EPA generally  established performance
•standards for hazardous  constituents achieved by the-BgAT.^ Any
 technology" (except dilution) that meets those performance"'   "T
 standards is permissible under our rules.

    - The role of  volatilization during S/S is addressed in  the
 attached.paper (Attachment 2)  by  Terrence  M.  Lyons et  al. of
. EPA's research laboratory in Cincinnati, This paper .presents  .
 tedults of .a. bench-scale .treatability stiidy^esignec^terquant
rtjhe release:,of • volatile organic compounds  (VOCs) during ando.after
 .ex situ S/S-treatment.   Control of air emissions from waste"
 management"facilities is addressed in.detail  in several EPA
^publications- (EPA/625/R-92/012, Noy  92; EPA/625/R-92/CL03, Aug 92;
-EPA^45],/Rt93-OOti:,.Mar .93; arid  EPA-453/R-94-070a, Sep  94).   EPA.
 has'recognized that volatilization of volatile  organics with cold
 mixing processes  can" occur.  At a minimum, control and  capture of
 these emissions are recommended.                           •

      EPA's Office of Emergency and Remedial Response  (OERR  or ...
 Superfund) has issued draft  guidance'on the use of .S/S  for  ..
 organics.  The guidance  states that  S/S is riot  appropriate  for
•sites containing  VOCs only..  This guidance suggests use of  a
 severe solvent extraction procedure  to indicate whether the

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 organics are bound.   Several Superfund sites have had at least a
 portion of the remedy involve cold mix processing of organic
 waste.   Two large sites are provided as examples.   The Sand
 Spring site in Oklahoma involved S/S of petroleum waste,
 containing heavier hydrocarbons, and the Craig Farm site in
 Pennsylvania -involved S/S of resorcinol waste.  The S/S treated
 wastes were placed in lined land disposal units based on the
 recommendation of EPA's Office of Research and Development (ORD).

      ORD has limited experience in the utilization of S/S-treated
 wastes that were not characteristically-hazardous per RCRA after
 treatment.  This includes studies of using cement products for
 light duty construction materials with ash from municipal waste
 combustion (primary metals) incorporated, into the cement product.

      Generally, there are site,-rspecific limitations on the use of
^treated mixtures depending upon the type of waste treated, soil
 type, and probability of waste migration.  EPA Region r approved
 the stabilization of polychlorinated biphenyls (PC.B) contaminated
 soil (<10 mg/kg) into ah asphalt emulsion mix that was to be
 covered.                                     .         •...-•'

      Bioremediation Technologiest  Biopiles or ex situ
 landfarming treatment technologies, which fall within the
 category of bioremediation, are discussed below.

      Although Bioremediation (which includes land treatment)-" is"V
-widely accepted for the treatment of petroleum-contaminated .  :.
 soils,  the processes used and the riates of degradation that" can-
 be achieved are very different.  Although land treatment units
 have been extensively used for'treatment of petroleum-
 contaminated soils,  available data.with .EPA do not indicate
.routine ex situ treatment of petroleum-contaminated ...soils by
 biopiles or landfarming to 10 parts per milliohi(|^X_."y There, is
 a. declining trend on the use of landfarming technology:-for-   ""•-
 treatment of-petroleum-contaminated sites. -An., in situ ^treatment
 bioremediation technology known as bioventing. is beingj.used
 increasingly to treat petroleum-contaminate^ soils. It is an
 effective and relatively inexpensive technology which is growing
 exponentially in the marketplace. ORD along with the.US Air Force
 has been principally involved in its development and .evaluation.
 Over the past 3-4 years it has been applied to about 1000 sites.
 We anticipate a significant reduction in off-site treatment of
 these wastes, given the costs, effectiveness and minimal site
 disruption .with, its use." .

      Pertaining to the claims referenced in your letter about
 reductions in total petroleum hydrocarbons (TPH),  EPA is not
 aware of a bioremediation'technology that would degrade any.
 concentration of petroleum-contaminated soils to 10 ppm in 30
 days.  Three critical factors in assessing biodegradability are
 the soil type, concentration, and type of product being treated.
 Without accounting for these factors specifically, it is
 difficult -to. make a judgment regarding the actual rate and extent

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of degradation.  Generally, bioremediation  technologies
(bioventing) take about six months to two years  for  degrading
organic wastes  (EPA-510-B-94-003, Oct 94, p.  III-3).

       Polynuclear aromatic hydrocarbons  (PAHs),  especially those
that are predominant in crude oils, such as the  di-,  tri-  and
tetracyclic aromatics, are much more difficult to degrade  than
aliphatic hydrocarbons, but are degradable  to some extent.  As the
ring structure becomes more complex, the compound becomes  more
persistent. Pyrogenic PAHs, such as benzopyrene,  are
significantly more resistant, but fortunately don't  exist  in high
concentrations in crude-oils. The tetracyclic aromatics  and above
will not biodegrade in 30 days even-under optimized  laboratory
conditions.                   ... """."•"":

     Volatilization may.be significant depending.upon the  age of
the material" and if it is exposedc.Ut-the' ground  surface. Aged
material is" less likely to volatilize b.ut-^ependingj.upott'-any
agitation-  (tilling, aeration)- and environmental:1 conditions,
fluctuations in volatilization can. occur.- Several EPA documents-,
referred to earlier, address the capture^ and  control of  organic''
air_emissions'from waste management facilities.

     An EPA publication, nBioremediation in the--Field, EPA/540/N1
95/500, No. 12, Aug 1995, is attached (Attachment 3)  for further
information.  Also, bioremediation in the field  search system-.
(BFSS) database is available.on EPA's Cleanup Information  (CLU-
IN) bulletin board service (301-589-8366, data line)  for
downloading.         '              .

     I hope this letter. addresses your ^concerns.,- "If  your  office
staff wishes to discuss any specific.concerns or issues  related
to these technologies, please have them contact  Subijoy  Dutta, of
my staff, at (703) 308-8608.

                              •Sincerely yours,.     .
Enclosure
                                      H-. Shapiro, Direptor
                                     of Solid Waste

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   MICHAEL J. COLLINS

  8TH LEGISLATIVE DISTRICT

    (ORE • HARFORD COUNTIES


       . CHAIRMAN
BALTIMORE COUNTY DELEGATION
        MEMBER
ECONOMIC AND ENVIRONMENTAL
    AFFAIRS COMMUTES
SENATE  OF  MARYLAND
   ANNAPOLIS. MARYLAND 21401-1991
                                                 DISTRICT OFFICE
                                              41 O EASTERN BOULEVARD
                                           BALTIMORE. MARYLAND 2I22I-4576O
                                                PMONE: «IO) 39I-78OO
                                                 PAX: (4IO) 39I-7BO3
     ANNAPOLIS OFFICE
     210 JAMES BUILDING
ANNAPOLIS. MARYLAND JI4OI-I99I
    PHONE: MIO) 641-3642
                                           March 1, 1996
     The Honorable Carol M. Browner, Administrator
     United States Environmental Protection Agency
     410 M Street, S.W.
     Washington, D.C. 20460

     Dear Administrator Browner
            The Maryland State Senate this year has begun considering legislation designed to limit
     the State's liability from actions taken in response to releases of petroleum from above-ground
     and underground sources.  Before us this Session is proposed legislation that directs the Maryland
     Department of the Environment (MDE) to maximize the use of technologies that destroy the
     contamination found in soil and groundwater when they respond to petroleum releases. While
     Senate Bill 668 (see attached) only pertains to the funds directly under MDE's control, the issue
     is critical to generators throughout the State.

            Maryland has many different types of petroleum-contaminated soil treatment facilities
     operating state-wide. These facilities utilize technologies as varied as bioremediation, cold-mix
     soil-cement, cold-mix asphah, brick-kiln incorporation, laridfilling and thermal desorption.  While
     each technology type has its proponents, of concern is whether the treatment technologies
     currently operating in the State can adequately provide the cleanup levels mandated by State
     regulation and claimed by the providers of the service.

            The MDE has used a standard of 10 parts per million (ppm) Total Petroleum
     Hydrocarbons (TPH) as a cut-off level below which treated soil is considered non-contaminated
     and eligible for unrestricted use. Under this criteria, large quantities of soil have been treated in
     the State, much from out-of-state sources and disproportional to the amount generated within the
     state. Several of these technologies are not approved for use in most states, which gives cause for
     concern that perhaps Maryland is not aware of the ramifications that can arise from the use of
     some of these technologies.

            We have been informed that a considerable amount of investigation has been conducted by
     the Environmental Protection Agency regarding several of the specific treatment technologies in
                     :; -i I

-------
 The Honorable Carol M. Browner, Administrator
 United States Environmental Protection Agency
 March 1, 1996
 Page Two
question - bioremediation and cold-mixing.  Recognizing that petroleum releases from
underground storage tanks are not considered, at least at this time, a hazardous waste, none-the-
less there apparently has been a great deal of work done by your RCRA office in deciding "Best
Demonstrated Available Technologies (BDAT) for a large variety of wastes that fall under 'land-
ban" restrictions.  The studies seem to indicate that organic contaminants are not considered
candidates for treatment by using either asphalt-based cold-mix or Portland cement cold-mix
technologies. Apparently the concern by researchers is similar to the concern of this legislative
body, that is, that organic contaminants will tend to leach even after treatment.  Also, I have been
informed that your Superfund office in  Cincinnati, Ohio arrived at the same conclusion, and  has
developed a guidance document (EPA/S30/R-93/012) which indicates that this practice should be
avoided.

       Bioremediation is an accepted means by which many contaminated sites can be remediated
to decreased contaminant levels while leaving the contaminated soil in place. However, in
Maryland there are treatment facilities which claim remediation of any. petroleum-contaminated
soil at their off-she locations in thirty days to levels of 10 ppm or less TPH. While this would be
of tremendous benefit to the State, I've been told by industry experts that this is not a physical or
microbiological possibility. Apparently there are recalcitrant compounds routinely found in
petroleum, such as polynuclear aromatic hydrocarbons and oxygenates which have bioremedial
half-lives that are routinely measured in terms of years. I've also been informed that the means by
which MDE determines whether a treated contaminated soil is "clean" is by use of a teat (8015M,
purge and trap) that only measures the VOCs, therefore not measuring non-VOC hydrocarbons
when testing for acceptability as to unrestricted use.

       We are therefore soliciting your response to the following inquiries:

       1)    Are the use of cold-mix technologies appropriate for hydrocarbon-contaminated
             soil? Is there any possibility of the contaminants leaching once treated by these
             methods? Are there any instances where RCRA would consider the cold-mixing
             of a hydrocarbon contaminated hazardous waste, containing compounds similar to
             those found in commonly encountered petroleum, a BDAT? What role does
             volatization play in the disappearance of volatile organic compounds during cold-
             mixing? Does EPA allow the use of cold-mix technologies to treat hydrocarbon-
             contaminated soil at Superfund sites?  If so, what conditions are placed on the
             post-treatment use of this mixture? Lastly, are these cold-mix treatment mixtures
             allowed to be used in an unrestricted manner?

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The Honorable Garol M. Browner, Administrator
United States Environmental Protection Agency
March 1,1996
Page Three
       2)     Is EPA aware of any form of biopiles or ex-shu landfarming that can routinely
              treat hydrocarbon-contaminated soils to levels of 10 parts per million of total
              petroleum hydrocarbons?  Are there any instances where EPA has found that
              bioremediatioa can be used to treat any petroleum-contaminated soil to a level of
              10 parts per million total petroleum hydrocarbons within 30 days? Are certain
              hydrocarbons such as polynuclear aromatic hydrocarbons or oxygenates
              recalcitrant to bioremediation? What role does volatilization play in the
              bioremediation of volatile organic compounds?

       Your Agency's prompt response to these questions will enable us to proceed forward with
our deliberations in this matter. Mr. Steve Verch of my office is available to speak with your staff
member assigned to respond to this request. He can be reached at (301) 858-3642. Thank you
for your efforts in this matter.
                                               Sincerely,
                                                 ichaelL Collins
                                               Senator
                                               Maryland General Assembly

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         '?
                 UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                        '       WASHINGTON. D.C. 20460
                 ' •••••:•:•'••
                 ••   •   .--.-::•. ..'  '   -..••••         .  .  '
                     •                 .'."'           •   •   ..         ,
                 • •'.   -.'  ..'  •  '.-'SEP  24 1996  :  -. -. •-..•-;    .
                                                                        9502.1996(04)

 MEMORANDUM I
 SUBJECT:' .  Coordination between RCRA Corrective'Action and Closure and CERCLA Site.
 .  :. .  -•-.-•"  Activities'..••'.';••/:>''-i'.'••/*'••*'•.';•'''-C^'--''-^'-.'••:•-'•':  •'''.  :--;,;:" " '•.>-.'.•:'.'>":"'.•
 ,  •••  ..'   .:••-..  s-:•*:•..•'•• fa AJff'*-•-• •'••-^—»-. •"••••'.  '••:.'  '•'.-•'  ••:•••--•
FROM:
               Steven A. Herman.
               Assistant. Administrator     ;- ' • •   . . ; ••"'-.'.'. ;.••;.•  •'
               Office of Enforcement and Compliance Assurance
               •, .   _ •    *    .    • ^*.  .  •  *• ** . n .
          ..- V  Elliott P, Laws  ;
          '•'••'- -Assistant Administrat
           '.'Office of Solid Wasi
                                                Response •'.:'/.'/.\-:1'-.'. ; '•'"; -.•_..-  '•..•.'.'-
 TO; :'\ {'•: ;-XRCRAyCERCLA National Policy Managers- .; •  ;     -      : : ."-'•'.  -:  /';'"    .
     • -.'. .-. •..^;-; Regions I-XT.l- •;•'-.: .'•'•''•'  '.•  .  • '/ '   ..   '•.•'"•./'  /l •;''••'•-.•; :   .':.,:
.  -  _.  .•.:...--.,;.,.. ° . .,•;•••.-;..=:•  • .    .  _....••--...• •;.-.     •   ;...,...-..• " .-;.  ".   • 7 • - .  -.  .

        Good RCRA/CERCLA coordination has become increasingly important as .our offices'.
 have reorganized and programs 'have assumed new organizational relationships. ..We believe. .
 that, in general, coordination of site cleanup activities among EPA RCRA, EPA CERCLA and
•state/tribal cleanup programs has unproved greatly; however, we. are aware of examples of
'some remaining coordination difficulties. In this.-memov we discuss three areas: . acceptance of
 decisions made by other remedial programs; deferral of activities and coordination among  EPA
 RCRA, EPA CERCLA and state/tribal cleanup programs; and coordination of the specific
 standards and adminis.trative requirements for closure of RCRA regulated units with other
 cleanup activities. We also announce a revision to the Agency's policy on the use of fate and .
 transport calculations to meet the "clean closure" performance standard under. RCRA. -We
 hope the guidance ''offered here will assist 'in your continuing efforts to eliminate duplication of
 effort, streamline cleanup processes, and. build effective relationships' with the states and tribes.

        This memorandum focuses on coordination between CERCLA and RCRA cleanup  ;••
 programs; however, we believe the approaches outlined here are also applicable to   .  ' '
 coordination between either, of these programs and certain state or tribal cleanup programs that
 meet appropriate criteria.  For example, over half of the 'states have "Superfund-like"    .    .
                                                                                       .  .
                                                               fY A'fMm»dwithSoy/C«nol«lr*onpap«thal
                                                               V— i/*V — .-,-. ~.i«-^«yw. ,.™-wnibef

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  authorities. In some cases, these state authorities are substantially equivalent in scope and
  effect to the federal CERCLA program and to the state or federal RCRA corrective action
  program. In accordance with the 1984. Indian Policy, EPA recognizes tribes as sovereign   '
  nations, and will work with them on a government-to-government basis when coordinating
  cleanup efforts on lands under tribal jurisdiction.         '  •  .   '

        In addition to the guidance provided in this memorandum, ;two other on-going
  initiatives address coordination of RCRA -and CERCLA,  First, EPA is currently coordinating
  an inter-agency and state "Lead Regulator Workgroup. " This workgroup intends to provide
  guidance where overlapping cleanup authorities apply at federal, facilities that identifies options
  for coordinating oversight and (deferring cleanup from one program to another.  We intend for
  today's memorandum and the pending guidance from the Lead Regulator .Workgroup to' work
  in concert to improve RCRA/CERCLA mtegratioh and  coordination; - Second,rEPA has also
  requested comment on RCRA/CERCLA integration issues in the May -.1 ;i 1996 Advanced -:
 Notice of Proposed Rulemaking-Corrective Action for  Releases From Solid Waste '•:• :   v "• •-
 Management Units at Hazardous Waste Management FacilitieiXo"! FR 19432; commonly
. referred to as the RCRA "Subpart S" ANPR). .We intend to-coordinate all of these efforts as ;
 we develop further policy oh integration issues.' '-.'•'•-.   .'..-.'•'    - . .   -"  '-.-"'

 •Acceptance of Decisions Made hv D>h,»r Remedial Programs ';; : -: •;'.. / ;.•  '      .-.•     •.   .-•
       ..GeneraUy, cleanups under RCRA corrective faction .or CEHCI^ wm.substantiyeiy : ^ ?
 satisfy, the requirements of both programs.1.: We believe that, In most situations, EPA' RCRA
 and CERCLA site managers can defer cleanup:actiyiti^                                :
 program to another with the expectation that no further cleanup' will be'required under the
 deferring .program.  For example, when investiga^hs or studies have been completed under   •
 one program, there should be no need to review or "repeat those investigations or studies under
 another program. Similarly, a remedy that is acceptable under one program should be
 presumed to ;meet 'the- standards of the other/   ;  . .i  .     :  .'• :         '     .'"          -';.•

 . .    It^has been our experience  that, given the level of site-specific decision-making  :  !•
 required for cleaning up sites, differences among the implementation approaches of the 'various
 remedial prograjns primarily reflect differences in professional judgement rather than     •
 structural inconsistencies in the programs themselves, Where there are differences in
 approaches among remedial programs, but not in their fundamental purposes or objectives
 (e.g., differences in analytical QA/QC procedures), these differences should not necessarily
       '••  .  • In afew .limited cases, program differences may be sufficiently great to prevent deferral to the
other program (e.g',;the inability of CERCLA to address petroleum releases or RCRA to address certain radioactive.
materials). In these instances we encourage remedial programs to coordinate closely with each other to minimize
duplication of effort, including oversight •... •   '        •'••.'.            '^          .". •     -..'..

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 prevent deferral.  We encourage program implementors to focus on whether the.end "results of
 the remedial activities are substantively similar when making deferral decisions'and to make
 every effort to resolve differences in professional judgement to avoid imposing two regulatory
-programs..'   '•.'-.    • ':•.••'.•'./.   ;'.  .   -i''--  '.'',..-'".•;••  .".:'..'.  •.,."  -'•.'.''••''.•'••'.'/••'

     .   We are committed .to the principle of parity between the RCRA corrective action and   .
 CERCLA programs and to the idea that the programs should yield similar remedies in similar "i
 circumstances.  To .further this goal,  we have developed and continue to .develop a'-number, "of .'-•"'
 joint (RCRA/CERCLA) guidance documents. For .example, me.several "Presumptive ^-!>•.•'!'V
 Remedies," which are preferred technologies for common categories of sites, and tie Guidance
 for Evaluating the Technical impracticability of Ground-Water Restoration (OSWER.pirective
 9234.2-25, September 1993), which recognizes me impracticability of achieving groundwater .-
 restoration at certain sites, are applicable to both RCRA and CERCLA cleanups. .For mpre  -./,
 information on the concept of parity between the RCRA and CERCLA programs see: 54 FR
 41000, esp. 41006-41009 (October 4, 1989),;RCRA deferral policy; ;,54 FR 10520 (March 13,-
 1989), National Priorities List for Uncontrolled Hazardous Waste Sites .Listing Policy for
 Federal Facilities;  55 FR, 30798. esp. 30852-30853 (July 27, 1990), Proposed Rule for
 Corrective Action for Solid Waste Management Units at Hazardous Waste Management
 Facilities;'60  FR 14641 (March 20, 1995), Deletion Policyfor RCRA Facilities; and,'61 FR:
 19432 (May I, 1996), Corrective Action for Releases From Solid Waste Management Units at
 Hazardous Waste Management Facilities, Advanced Notice of Proposed Rulemaking. .:  .  ; .;
 .. / • .'•'•':; '..;';•:  '•:••"-•',' .<..'v-..':". v--v':.--.;-:'-;-v., : •: ;•'.:•• ^C'-:.f:.--NV'J. VV;;'-';:;:^'';:<'.v:-.^.;-\;;r.-;. .••••;:':-'.':: '•
 Program Deferral  :.    :y.n •^..••.'.;:\:'-::-^•'.-••.-/v./yi';^.i';-;.^.: '.::-'r,[: \ '  •••'•:^\--:'-.:.''."..^.''''.-\ •.''-.-.'.  .' '

        The concept of deferral from one program to another is akeady.in general use at EPA;:.\,
 For example,  it has long been EPA's policy to defer facilities that may be eligible for inclusion
 on the National Priorities List 
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 .       While EPA's general policy is for facilities subject to both CERCLA and RCRA to be
% cleaned up under RCRA, in some cases, it;may be more appropriate for the federal CERCLA
  program or a state/tribal "Superfund-like" cleanup program to take the lead.  In these cases,"' •
  the RCRA permit/order should defer corrective action at all of the facility to CERCLA or a'
  state/tribal cleanup program.  For example, where program priorities differ, and a cleanup
  under CERCLA has already been completed or is underway at a RCRA facility, corrective
  action conditions in the RCRA permit/order could state that the existence of a CERCLA action
  makes separate RCRA action unnecessary. In this case, mere would be no need for the RCRA
  program to revisit the remedy at some later point in time. Where the CERCLA program has
  already selected a remedy, the RCRA permit could- cite the CERCLAidecisiori document (e g
.  ROD), but would not necessarily have to incorporate that document by reference. RCRA - • '
  permits/orders can also defer corrective action in a similar way 'for cleanups undertaken under •
  state/tribal programs provided the state/tribal action protects human health and the :  ''••  •
  environment to a degree at least equivalent to that required under theRCRA program^-:  •  V.

   ":: • ..Superfund policy on deferral of CERCLA sites for listing on the "NPL while states and '
  tribes oyersee-response actions is detailed in the May 3, 1995 OSWER Directive^TS 6-11
  ("Guidance on Deferral of .NPL Listing; Determinations While States Oversee Response  .
 Actions").  The intent of this policy is to accelerate the rate of response actions by •     '  '
 encouraging a greater state or tribal, role, while maintaining protective Cleanups and ensuring  -
 full public participation in the decision-making process. Once a deferral response is complete;-;
 EPA will remove the site from CERCUS and will not consider me site for the NPL unless the '
 Agency receives  new information of a release or potential release that poses a significant threat
 to human health or the environment. The state and tribal deferral policy is ayailabie for sites1 1
 hot listed on the NPL; deferral of final NPL sites must be-addresseci under the Agency's.  ;C "'
 deletion policy, as described above. ; •  . V   -.   :r:    J      :/!...;.   \':'..:.    .>    •'  .

 Coordination Between Programs   . . /    \-:.-         -.•:•'..•'..'•• •. '••.',     .   . -    •'•'•;.- "'•.

   I-   While  deferral from one program to another is typically the most efficient and desirable
 way to address.overlapping cleanup requirements, in some cases, full deferral will not be    .
 appropriate and coordination between programs- will be required. The goal of any approach t6
 coordination of remedial requirements should be to avoid duplication of effort (including
 oversight) and second-guessing of remedial decisions.  We encourage you to be creative and
 focus on the most efficient path to the desired environmental result as you craft strategies for
 coordination of cleanup requirements under RCRA.and CERCLA and between federal-and '
. state/tribal cleanup programs.

       Several approaches for coordination between programs at facilities subject to both
 RCRA and CERCLA are currently in use. It is important to note that options for coordination
 at federal facilities subject to CERCLA §120 may differ from those at non-federal facilities:

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because of certain prescriptive requirements under §120, EPA-anticipates issuing further
guidance on coordination options specific to federal facilities through the interagency Lead
Regulator Workgroup.  Current approaches that are in use include:   '    :   .      .

       Craft CERCLA or, RCRA decision documents so that cleanup responsibilities are.
       divided.  CERCLA and RCRA decision documents do not have to require that the     :
       entire facility be cleaned up under one or the other program.; For example, at some
       facilities being cleaned up under CERCLA, the RCRA units (regulated or solid waste)
       are physically distinct and could be  addressed under RCRA/  In these cases, the       •
     .  CERCLA decision documents can fociis CERCLA activities on certain units or areas,;-
       and designate others for action under RCRA.  When units or areas are .deferred from
       CERCIAto RC&A, the CERCLA program should^.include a'statement (e.g:;;in a ROD
       or. memorandum submitted to me administrative record) that successful completion of
       these: activities would eliminate me need for further cleanup under CERCLA;'at those
       units and minimal review would be  necessary  to delete the site from the NPL."        -
         1   *  ..."   c   . " • •   ' .• • .   •       •    . . "•    *.  • - •   • "      .   •    .    *
       Similarly, when Units or areas are deferred from RCRA to CERCLA,RCRA permits '
      .or orders can reference the CERCLA cleanup process and state .that complying with the
       terms of the CERCLA requirements would satisfy the requirements of RCRA.
     •  " '•:':"'- '•••'••;:  .'-'. '''.••-'"•••••'.: -•:}. '•: '' 'V'-.'•/•••  ' '..•'•" '••/•••-'• •./.'.•I' .••.''-••• •'••' ..•.'--•;• . .'•;'•;• " .'
       Establish tinting sequences in RCRA and CERCLA'decision documents.  RCRA.and   .
    .-   CERCLA decision documents can establish schedules according to which the ;   /:. •
       requirements for cleanup.at.all or part of a facility under one  authority would be;:;.. .''..:
       determined only after completion of an.action underthe  other.authority.  For example,
       RCRA permits/orders  can establish  schedules  of compliance which allow decisions as -
       to whether corrective action is required to be made after completion of a CERCLA ;
       cleanup or a cleanup under a state/tribal authority.. After the  state or CERCLA   ., ,:
       response is carried out, there should be no need for'further cleanup under RCRA and
       the RCRA permit/order could simply make mat finding.  Similarly, CERCLA or ;'.    ..
       state/tribal cleanup program decision documents could delay review of units or areas
     .  that are being addressed under .RCRA, with the expectation that no additional cleanup
       will need to be undertaken pending successful completion of the RCRA activities,
       although CERCLA would have to go through  the administrative step of deleting the site
       from the NPL.                   .'-.     \.   •''.'-.'''"  -.        ;     ••-.'•"   \

       A disadvantage of this approach is that it contemplates subsequent review of cleanup by
       the deferring program and creates uncertainty  by raising the possibility mat a second
     .  round of cleanup may  be necessary.  Therefore, we recommend that program    .
       implementers look first to.approaches that divide responsibilities, as described above.
       A timing approach, however, may be most appropriate in certain circumstances, for
       example, where two different regulatory .agencies are involved. Whenever a tuning
       approach is used, the final review by the deferring program will  generallylbe very

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        streamlined.  In conducting this review, there should be a strong presumption that the
      .  cleanup under the other program is adequate and that reconsidering the remedy should
        rarely be necessary.-'"      .   /'.•    .        ",.,•-....     .

        the examples included in this memo demonstrate several possible approaches to     :
 deferring action from one cleanup program.to another. For example, under RCRA, situations
 are described'where the RCRA corrective action program would make a finding that no action
 is required under RCRA because the hazard is already being addressed under the CERCLA
 program, which EPA believes affords equivalent protection. In other examples, the RCRA  •
 program defers not to the CERCLA program jigr. 5£, but either defers to a particular CERCLA
 ROD or actually incorporate's such ROD by reference into a RCRA permit or order. In     .
 addition,.there are examples where the Agency commits to revisit a deferral decision once the'v
 activity to which RCRA action is being 'deferred is completed; -ini other situations,'  K -   -
 revaluation is not contemplated., As discussed'in this memorandum; vnb single 'approach is  :
 recommended, because me decision; of whether to defer action under one program to another :'
 and how to structure such a deferral is highly  dependant on site-specific and community..    '
 circumstances.' In addition,;the type of deferral chosen may raise issues concerning, for
 example, the type of supporting documentation that should be included in the administrative
 record  for the decision, as well as issues concerning availability and scope of administrative
 and judicialreview;    . ,-  :    v- ',.•"'••'•.•;.'.",'''.-.". v',.;'..'• '••' :.;:-':-' '  •   '  .   •.'•;.-.

        Agreements on coordination of cleanup prograinYshould be fashioned to prevent     -
 revisiting of decisions and should be clearly incorporated and cross-referenced into' existing or
 new agreements, permits or orders. We recognize that this up-front coordination requires
 significant resources: Our expectation is that*  over the long-term; duplicative Agency
 oversight will bei reduced arid^cleanup efficiency will bVehhanced. .                .

 RCRA  Closure and Post^Clcisure         ,•   •  -;:'.-.           .            .-'•:_

      .Some of the most significant RCRA/CERCLA integration issues are associated with
. coordination of requirements for closure of RCRA regulated units3 with other cleanup .-
 activities.  Currently, there are regulatory distinctions between requirements  for closure of
 RCRA  regulated units and other cleanup requirements (e.g., RCRA corrective action
 requirements): RCRA regulated units are subject to specific standards for operation,
 characterization of releases, ground water corrective action and closure.  Coordination of these
 standards with other remedial activities can be challenging. In the November 8, 1994
 proposed Post-Closure Rule (59 FR55778), EPA requested comment on an approach that
 > •    • In this document, the term "regulated unit" refers to any surface impoundment, waste pile, land treatment
 unit or landfill that receives (or has received) hazardous waste after. July 26,1982 or that certified closure after
 January26, 1.983.     . .      "-..•'    •-::'.         '       •       •          "'

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   would reduce or^eliminate;the regulatory distinction between cleanup of releases from closed       '
   or closing regulated units and cleanup of non-regulated, unit releases under RCRA corrective
;   action,  the .Office of Solid Waste will address this issue further in the final Post-Closure and    ;  .
  • SubpartS rules. •/:.....,'  ,  :: ..:'••'.  ;; "'' ,-v  ' .•...•'•'.: Ovl; •:••'; '-•' •'•'. •/;• .•".;•;•  '       '•'
•  ' .  '•':' ''• '.•''••'".''  •.-'••'• '•::. •;l.':V-.-:'r:' '-;' '.'''-..."• .'•..'., -',:''  •'"'':-  •'''• v'.;" •:•••. V. ~ •'.''-••/• '•.''.':•'.'.-",'.  '.  •'.'. <'.'• ' ,•'!'•>•'.'.''.
   ".•;•'.   ' At the present time,however,the dual regulatory^struc^e for RGRA closure and other  ';  ;
   cleanup activities remains inplace.  There are several approaches;programimplementors can
   use to. reduce inconsistency and duplication of effort when implementing RCRA closure  .;  .    .'.'•
  ' requirements during CERCLA cleanups or RCRA corrective actions. \These  approaches are .,-,
   analogous to the options .discussed above for coordination between cleanup programs. .For...
  . exan^)le, a clean-up plan.for a CERCLA operable unit ihat physically encompasses_ a, RCRA'-._. .
   regulated unit could be stractoed to provide ^                                            ;
   RCRA closure and post-closurei requirements. In\t^^iac^lR;'^]B^^^n^ta^ could   ;  v-
   cite the ongpuig CEIICLA qleanup, and uicorporate the CER.CLA requirements by reference. \  .  • ;
   RCRA public participation requirements would have to be met for the;pe"rmit/order t6 be  ,   :;  "  :
   issued;i however, ;at many sites it may be possible to^use a single process to meet this.need      ;   ;
;•'  under RCRA and CERCLA.  ;• -,-,/. v' ....;V;1. i ••;:' C'$!: ':.^'---^K^ '!.••    / ;    •

         EPA continues to believe, as stated in me March 19,1987 notice, that risk-based
   approaches are protective and appropriate  for clean-closure determinations.  In EPA's view, a
   regulatory agency could reasonably conclude that a regulated unit-was clean-closed under
   RCRA if it was cleaned up under Superfund, RCRA corrective action, or certain state/tribal
   cleanup programs to the performance standard for clean closure. This performance .standard
   can be met with the  use of risk-based levels.  RCRA units that did not achieve the closure
   performance standard under a cleanup would remain.subject to RCRA .capping  and post-
   closure care requirements.            ;   :    -.:..,  ••••'•' :   .    '   ;

         The 1987 federal, register notice described EPA's policy that the use of fate and.,
   transport models to establish.risklevels would be^^ inappropriate'for clean closure • • .  .
   determinations. .This discussion, however, also included the statement that, after additional
   experience with clean closures, "the Agency may decide that a less stringent approach is

-------
 sufficiently reliable to assure that closures based, on such analyses are fully protective of
 .human health and the environment." After .nine years of further experience', EPA believes that
 consistent with the use of risk-based standards in its remedial programs, use' of fate and   •  ':'
 transport models to establish risk levels can be appropriate to establish clean closure
 .determinations. EPA today announces that it is changing its .1987 policy on evaluating clean
 closure under .RCRA to allow use of fate and transport models to support clean closure
 demonstrations.  EPA intends to publish this change in the Federal Register in the near future.

       We encourage you to consider risk-based approaches when developing cleanup -levels
 for RCRA regulated units and to give consideration to levels set by state/tribal programs which
 use risk-based approaches. :EPA is developing guidance on risk-based clean closure and on the
 use of models tomeet the clean closure performance standard. •  -;  ;     . . ;.-. ......

    '   Since almost all states oversee the closure/post-closure process and more than half  : :';
 implement RCRA corrective action, coordination of RCRA corrective action and closure will -
 often be solely a state issue. However, if a state is not authorized for corrective action, or if a
 facility is subject to CERCLA as well as RCRA corrective action, close coordination between
 federal and state agencies will be necessary.  As discussed above, actual approaches to
 coordination or deferral at any site should be developed in consideration of site-specific and
 community.concerns.  : ,. .-: ;  ..  :  . .. "•-,. .    .: .     ;    .. .   .,   • .. .  ..-...;...

 Summary --••' •  '•.'•'-  ..•'."•..••'•'•'..''..-v.  ' ''••  .•-.•"  •'•'.'•  '• '•""••''."'.'•••"•.;'•!.••...'. •.'•'••.-••'•••..•••

    •   We encourage you to continue your efforts to coordinate activities between the RCRA
 and CERCLA •programs and between state, tribal and federal cleanup programs.  We are,  :
 aware that.severalof the EPA Regionsiare considering developing formal mechanisms t(f. •.'  .
 ensure that coordination will occur among these programs. We endorse these efforts and  •
 encourage all Regions,  states and tribes to consider (he adoption of mechanisms or policies to
 ensure coordination. If you have any questions on the issues discussed in this memorandum,
 or on other RCRA/CERCLA issues, please call Hugh Davis at (703) .308-8633.
attachments  "                .

cc:     Craig Hooks, FFEO
       Barry Breen, OSRE
       Robert Van Heuvelen, ORE
       Steve Luftig, OERR
      .Michael Shapiro, OSW
       Jim Woplford, FFRRO  .   ;.•
       Regional RCRA Branch Chiefs
       Regional CERCLA Branch Chiefs
       Federal Facilities Leadership Council    '         '                             ..
       Tom Kennedy, Association of States and Territorial Solid Waste Management Officials


                                          8

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Robert Roberts, Environmental Council of States
John Thpmasian, National Governors Association
Brian Zwit, National Association of Attorneys General

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This Page Intentionally Left Blank

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                    UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                                                              9502.1996(05)
                                      November 26,  1996

       Mr. Anthony E.  Perrotti
       President
       R.  I. Analytical  Laboratories,  Inc.
       41  Illinois Avenue
       Warwick, RI  02888

       Dear Mr. Perrotti:

            Thank  you for  your letter of  November 22,  1996  requesting
       approval for the  use of aluminum cap liners instead of Teflon for
       soil sample containers.

            The reason that the Agency recommended the use of Teflon cap
       liners for  soil sample containers in Chapter Four of SW-846, Table
       4-1, was as a precautionary measure.   Historically,  .a few samples
       collected for analysis  for  the  RCRA  and CERCLA Programs contained
       constituents which  could  corrode  the  aluminum  cap liners  and
       contaminate the  collected  samples.    In order  to  minimize  this
       potential problem, the  Agency recommended the use of Teflon-lined
       caps for all soil sample containers.

            However, we  see no reason why aluminum  cap  liners  cannot be
       used  for   soil   sample  containers  for  the  organic  parameters
       mentioned   in  your  letter,   TPHs,   semivolatiles,  PCBs,   and
       pesticides,  provided that you can demonstrate that the samples in
       question do not contain constituents that corrode the aluminum cap
       liners.

            If I can be  of any further assistance,  please call me at  703-
       308-0476.

                                      Sincerely,
                                      Barry  Lesnik,  Chemist
                                      OSW Methods  Team (5307W)
                                      RCRA Organic Methods Program Manager

SYMBOL I
SURNAME ^
OATE ^

fer^?^ )
.*£%&£.
///27/5*

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tiawftT^-fr
///£?/? 4




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6PA Form 13204 02-70)
OFFICIAL FILE COPY

-------
       RJ. Analytical
       Specialists in Environmental Services
November 22, 1996


Mr.  Barry Lesnick
US EPA
OSW  Methods Team
 (5307W)
401  M Street, Southwest
Washington, DC  20460


RE:   Aluminum Cap Liners


Dear Mr.  Lesnick:

Pursuant to our recent telephone conversation, I am  requesting a
written  response approving  the use of aluminum cap  liners instead
of Teflon for soil sample containers.

The  soils  that  are to  be  collected  in these  containers  will be
analyzed for organic^ parameters  such as;  TPH's, semi-volatiles,
PCB's, and pesticides^

Thank you for your attention  to this  request.


Sincerely,
RIAL,  Inc
      Ri Analytical Laboratories, Inc.
      41 Illinois Ave., Warwick, RI 02888, (401) 737-8500 • Fax:(401)738-1970

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9503 - SPECIAL
PERMITTING
UNIVERSE
                  ATKl/l 104/54 kp

-------
                                                               9503.1985(01)
                               MAY I 0 1985
MEMORANDUM


SUBJECT!  Definition of Mixed Waste (DOB facilities)

FAOMi   \4john Skinner, Director
          \OffHee of Solid Waste

TOi       Jamas H. Searbrough* Chief
          Waate Management Division
          Region IV ^


     This is in response to your memo of April 1, 1985, concerning
DOB facilities.

     The question of which radioactive wastes are subject to RCRA
control turne on the definition of "byproduct material" aa defined
under the Atomic Energy Act.  Such "byproduct material" ia not aub-
ject to RCRA control.  Radioactive wastes that are not "byproduct,"
i.e.* so called "mixed waates," are subject to RCRA control if the
waste exhibits a characteristic or contains listed waste.  We have
been discussing this issue with DOE for several months and have
developed, at staff level* a reasonable definition of "byproduct
material."  This definition will be proposed by DOC under Atonic
Energy Act authority.  Subsequently, we will propose administrative
regulations setting out procedures for DOB facilities.

     In any event, under the RCRA amendments* facility owners
and operators off land disposal facilities* including DOB* have
a atatutory reeponsibility to  submit a Part 1 permit application
and certify that they are In compliance with the Interim status
Subpart ? requirements  (see Section 3005(e)(2)).   Since most
DOB facilities generate and dispose of non-radioactive hazardous
wastes  just like other  industries* they are subject to this
requirement even if the hasardous wastes are combined after
generation with radioactive wastes which are not aubject to RCRA
control.  However, the  requirements of the statute are not limited
to non-radioactive hasardous wastee, but cover all hazardous
wastes under RCRA control.  There is no provision that exempta
land dispo«al facilities holding "mixed wastes" from the duty to
comply with Section 3005(e)(2) simply because DOB haa not yet
finalised its definition of "byproduct;•

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                               -2-


     Until DOt promulgates the definition of "byproduct" I suggest
that you use th« staff level definition •• interim guidance.  DO!
has determined, under that definition* whioh wastes from each
generating plant are byproduct* and whioh are "mixed vactea"
oubject to RCRA control.  We have reviewed those lists and find
them to provide a reasonable split between wastes that are hasardous
primarily due to radioactivity and those that present primarily a
chemical hasard.  We suggest .that DOB facilities proceed to develop
their Part B*s based on these tests.

     To implement.this, we have written a letter to DOE management
advising them of their statutory responsibilities and suggesting
that they proceed in accordance with the draft definition*
Many DOE facilities will be interacting with authorized states
rather than BPA.  where appropriate* Regions should pass this
information on to those States.

     If there are any questions on this matter* call Andre* Pearl
(382-2222) or Jon Ferry (J82-4«M).          '


cci  RCRA Branch Chiefs* Regions I • III, V - X
     Office of Federal Activities
     Regional Federal Facilities; Coordinators*
       Regions I - X                     '

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o

I

•       Mr.  Willlaw A.  Vaughn
•*       Acting  Assistant Secretary for
2        Policy,  Safety, and the Environment
        Department of Energy
g       Washington* D.  C.  2058§
i
w       Dear Mr.  Vaughnt  .
o
••
£            I  am writing to be aure you are awars of certain  statutory
\       responsibility* the Department of Energy (DOE)  has  in managing
x       certain waatea under the new amendments to th* R**ouro* Conaarva-
«£       tion and  Recovery Act (RCRA).  Under theae amendments  (Section
«       3005 (*H2)) ownars and operators of hasardous wast* land disposal
2       facilities, by November 8, 198S, musti
CM
s            (a)   submit a RCRA Part B permit application to EPA
t!                 or an authorised 8tat*,

             (b)   certify that they are In compliance with the
                  interim status groundwater monitoring require*
£                 meats of Subpart F of 40 CFR port 2*5, and
m
JQ            (c)   certify compliance with the interim status
J*                 financial requirements of lubpart H of 40 CPR
*                 Part 265 (under I26S.140(c> Federal facilities
!£                 are exempt from th*ae requirements—certification
£                 should simply so stats).

x       Failure to do ao will automatically reault In loss of interim
15       atatua for th«se facilities and they will therefore be operating
£       illegally.
m
i            As you are probably aware, our staffs have been meeting for
at       BOB* months to discuss acc*ptabl* definition* for d*t*rmining
2       which radioactiv* wast** ar* subject to RCRA control  (so-called
o       "mixed waotes") and which are  "byproduct* materials and thus exevpt
        from RCRAo  Your Office of General Counsel has developed a definition
        that reasonably accomplishes this and your generating plants have
        identified specific waste streams that fall  in each category.
        My ataff haa reviewed these  lists and finds  that they generally
        relegate waatoa  that pose a  chemical hasard  to RCRA control while
        thoae that poae a high level radioactivity haiard are generally

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                               -2-
       •• "byproduct materiala*.   But it doee not appear that In
the noar future remaining queationa aurrounding the definition
of "byproduct* will be fully resolved and tha definition proposed
and promulgated under tha Atomic  Inargy Act*

     Tha November 8 daadlina ia rapidly approaching, and developing
permit appllcationa and groundwatar monitoring ayatama that meet
tha RCRA requirement a ara tin* conaumlng aotivitiaa,  Therefore,
ota an interim approach, X raeoaaand that DOB uaa tha liata of waataa
davalopad fro* tha ataff definition in determining which waataa
and woata management facilitiea ara aubjact to RCRA regulatory
control for tha purpoae of complying with tha November 8 deadline.
Alao, many of your'planta generate nonradioactive hasardoua
waatao subject to RCRA control*  Theae waatea and DOB facilitiea
managing them muat alao comply with tha »ev aaendmenta to tme
atatuta .                                                 '
                                                             r .
     Many gtatea have been authorised to manage the permitting  •
operation*  In thoae atatea, your Application should be aeat  to
the appropriate State agency.  Our regional officea (contact  liet
onclooed) are prepared to counael your facilitiea on thla matter.
Truett DeGeare (382-2210) ia the appropriate contact on permitting
questions in Washington.  Guidance on the mechanica of certifying
compliance with the monitoring rule* will bo issued in the near
future.   Bob Linnett (3I2-4844)  ia the appropriate contact should
you have questions in the meant law,      ,

                              sincerely,
                              /•/.*•*; fcV
                              Jaok M. MoQrsv
                              Acting Assistant Adminiatrator
Bnclo»ure

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                                                            9503.1985(02)
\         UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
f                     WASHINGTON, O.C.  20460

                          AUG 3 0 1985
                                                      OFFICE OF
                                             SOLID WASTE AND EMERGENCY RESPONSE
  MEMORANDUM

  SUBJECT:  Regulation  of  "Mixed Wastes"  at DOE  Facilities

  FROM:  •'_ John H.  Skinner/''/'  /   / L   L i,
         ^Director      //r/^iW  PM*-
         ^  Office of Solid  Waste

  TO:       James H. Scarbrough
            Chief, Residuals Management Branch
            Waste Management Division,  Region  IV
       The purpose  of  this  memorandum is to respond to your
  request for guidance on the  ability of States  and Regional
  Offices to regulate  "mixed wastes"  (those wastes  which  have
  both radioactive  and hazardous  characteristics, but  which
  are not "by-product" material)  at DOE facilities.

       The first  issue is whether States are authorized to
  handle mixed wastes.   The answer is that they  are not.   A
  State may of course  regulate mixed  waste pursuant to State
  law, however, such regulation is not part of the  authorized
  State RCRA program.   When a  State applies for  authoriza-
  tion to operate its  RCRA  program, EPA reviews  each portion
  of its program  to ensure  that it is equivalent to the
  Federal requirement.   Because EPA had no interpretation on
  the radioactive waste exemption, there is no way  that EPA
  could have reviewed  the State programs for equivalence.
  When EPA publishes a Federal Register notice explaining
  its interpretation of the mixed waste issue, States  will be
  required to develop  equivalent authority, or,  if  such
  authority in already part of their hazardous waste program,
  they will b« required to  certify (through the  Attorney
  General) that they are interpreting the radioactive  waste
  exemption in the  same manner as EPA.   I refer  you back  to
  my May 1, 1985, memorandum on the applicability of RCRA to
  DOE facilities  for a more detailed  discussion  of  this issue.

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                            - 2 -

     The next issue which you raise is whether DOE should
be sending Part B applications to various authorities
based on whether the facility handles mixed or RCRA-only
wastes.  I understand your confusion on this issue and will
try to clarify it here.

     For purposes of the wastes that are clearly under RCRA, the
answer here is no different than it is for any facility at this
stage of the RCRA program.  Where a State is authorized for the
RCRA program, EPA and the States are currently involved in issuing
RCRA permits because of joint permitting under the Hazardous
and Solid Waste Amendments of 1984 (HSWA).  Therefore, a complete
RCRA permit application should be sent to both authorities.
For a discussion of this joint permitting process, see RCRA
Statutory Interpretation t5, dated July 1, 1985.  Where EPA
operates the hazardous waste program, DOE should submit only
one application directly to EPA.

     Both EPA and DOE have agreed that RCRA also applies to DOE
facilities handling certain mixed wastes.  Permitting these
facilities is a bit more complicated.  Where a State is authorized
it can issue RCRA permits only for RCRA wastes.  If a State
also has authority under its own laws to regulate mixed waste,
the State portion of the permit will address that mixed waste
although this portion of the permit will not be part of the
RCRA permit.  We recognize the limitations of this approach,
however, we simply do not have the authority to do otherwise;
the State's authorized program operates in lieu of EPA's which
means that EPA cannot issue a RCRA permit covering those wastes
either.  EPA has authority to directly conduct permit activities
in an authorized State only when the regulations governing that
activity derive from HSWA.  The addition of mixed wastes to the
Federal universe of RCRA-regulated wastes is not pursuant to
HSWA.  Therefore, EPA has no authority to permit such activity
in an authorized State.  Until such time as the State is
specifically authorized for mixed wastes, EPA cannot enforce
any State permit conditions relating to such wastes.

     Where the State is not authorized, EPA will be issuing
the permits for mixed waste and these permits will be RCRA
permits.  The only* remaining question, therefore, is how
to define mixed waste.  Although we do not yet have a final
definition of mixed waste (due to remaining questions over
"by-product" material), we recommend that permits be issued
for those mixed wastes which DOE acknowledges are subject to
RCRA, based on waste stream analyses that were generated by
DOE at individual plants.  They were reviewed by the EPA
technical workgroup addressing DOE issues and were determined
acceptable for use in permitting.  You should be requesting
those documents from the specific DOE facilities which you
will be regulating.  You should make sure that the documents
are the original studies that have not been revised since
EPA's review.  Headquarters policy is that where you suspect  a

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                            - 3 -

DOE facility -is handling nonradioactive hazardous waste, you
should proceed with the Part B application unless and until you
are notified by the facility that it does not handle such wastes.
In addition, DOE controlled mixed waste as indicated in the waste
stream analyses ^s_ subject to RCRA if such wastes are mixed with
RCRA waste after generation, e.g., where the waste is placed in
a RCRA site.

     I have also included a copy of the staff level definition
of by-product material referred to in my May 10, 1985, memorandum
as per your request, however, please realize that it is still in
draft form.  If you have any additional questions on this matter,
please feel free to call Andrea Pearl of our State Programs Branch
at FTS 382-2210.

Attachment

cc:  Thomas W. Devine, Director, Waste Management Division,
      Region IV
     RCRA Branch Chiefs, Regions I-X
     State Programs Branch, OSW
     Permits Branch, OSW
     Fred Lindsey, OSW
     Jon Perry, OSW

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          UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

                      WASHINGTON. D.C. 20460
                                                           OF
                                              SOLID WASTE AND EMERGENCY RESPONSE

                            CEC 2 3  O'SWER Directive  09503 .50-lA(85)
MEMORANDUM
SUBJECT:  RSI Memorandum for RD&D Permits
FROM:     Marcia Williams, Director
          Office of Solid Waste  (WH-562)

TO:       Allyn M. Davis, Director
          Hazardous Waste Management Division  (6H)


     I am responding to your memorandum of November  13,  1985,
which requested policy guidance on the following  issues  pertaining
to RD&D permits.

1.  May an RD&D permittee who collects hazardous  waste  from  a
generator who does not have a TSD RCRA permit, return  the  unused  or
reduced part of the waste to that generator after experimentation?

     Although the Agency may modify or waive permit  application
and permit issuance requirements to expedite the  permitting  of
RD&D activities, there is no authority to modify  or  waive  the
requirements pertaining to shipping hazardous  waste  from an  RD&D
facility.  Waste shipped from an RD&D facility must  be  manifested
and go to a facility with a RCRA TSD permit.   The RD&D  facility
could  arrange for the generator's transporter to pick  up  the
unused and reduced portions of waste and take  it  to  such a
facility — either the facility normally used  by  the generator  or
another facility.

2.   How much reporting information should be  required  from
permiTte**/ and who should accept this information and  in  what
form?

     The reporting requirements  are determined by what information
is necessary for the Agency to ensure protection  of  human  health
and the environment.  Because each RD&D permit is unique,  the
time-frame for reports and the level of detail required must be
determined on a case-by-case basis.  Applicants who  intend to
ultimately apply for a full RCRA permit must assure  that their

-------
                              - 2 -


procedures meet routinely acceptable research practices, otherwise,
the Agency may not be able to consider their results in issuing
the permit.  When Regions receive information on  the results of
experiments, this information should be submitted to Art Glazer,
Program Manager, Permits Branch.  This information will then be
shared with other EPA Headquarters staff and ORD  to assist the
Agency in developing permit standards and analytical methods for
new techniques and processes, and to assist the Agency's research
efforts.  There is no set form for submittal of information, except
that the information must be legible and the results clear.

3.   If the permittee wants to test more than one machine/ whether
or not they are similar or modified, is a permit  required for
one set-up or is it for an entire experimental process?  When a
permittee is finished with one machine, he may want to decon-
taminate and dispose or sell it, but then he wishes to continue
similar experiments.  Is this considered partial  closure of an
RD&D permit?

     RD&D permits should cover all experimental processes to
minimize the need for permit modifications.  The  permit applicant
should identify, as best they can, all potential  alterations or
additions to their experimental equipment and this information
should be covered in the permit.  Given the uncertainty with
RD&O activities, we see no problem with, including conditions in
the permit to cover activities that could potentially occur but
do not actually happen.

     Decontaminating and disposing or selling one machine, when
other equipment is still operating/ should be considered partial
closure of the RD&D facility.  Since an RD&D facility is required
to have a closure plan, the permit should address procedures to
partially close.  Permittees should be required to decontaminate
equipment which will be sold.  The procedures for decontamination
should be specified in the permit.

4.   Has any dociston regarding mobile RD&D units been made?

     Not at this time.  As you may know, we have  formed a workgroup
to develop recommendations for expediting the permitting of mobile
treatment units, including RD&D activities.  We expect  to  issue
a set of draft recommendations  to the Regions for comment  in a
month or so.  In the meantime  if you have specific questions on
permitting mobile units or wish to provide your thoughts on the
issue please contact Art Glazer on 382-4692.

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                              - 3 -


     If you have any further questions on permitting RD&D facilities
please contact Art Glazer on 382-4692

cc:  Peter Guerrero
     Bruce Weddle
     Art Glazer
     William Rhea
     Permit Section Chiefs Region I-V, VII-X

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            UNITED 5T-i '~.~ £NVI»CNMENTAL ?RC"CT:CN AGENCY
                         i s - • •  ; ~ c N o i
                            06C24BB


                                                  9503.5L-1A
MEMORANDUM
SUBJECT:  RD&D Permit for a Sludge Drying Process in a Wastewater


FROM:     Marcia E. Williams, Director
          Office of Solid Waste (WH-562)

TO:       Allyn M. Davis, Director
          Hazardous Waste Management Division (6H)
          Region VI

     In your letter of November 15, 1985, you requested written
confirmation that the use of a sludge drying unit, manufactured
by Water Management, Inc., at facilities with a wastewater
treatment unit, would not jeopardize their exemption from RCRA
permitting.   The sludge dryer is intended to further reduce the
volume of sludge requiring disposal.

     If the  sludge drying unit is a tank, as stated in your
letter, then persons who are currently exempt from RCRA permit
requirements under 40 CFR §270.l(c) (2)(v) because they have a
wastewater treatment unit, will continue to be exempt from RCRA
permitting if they use this sludge dryer.  The Agency has clari-
fied the definition of "tank", for the purposes of the wastewater
treatment unit definition in $260.10, to cover unit operations
which are not obviously tanks such as presses, filters, sumps,
and many other types of processing equipment. (See attached
memorandum dated July 31, 1981 from John Lehman to Richard Boynton,
"Suspension  of Regulations for Wastewater Treatment Units.")

     I understand that the intent of the sludge dryer is to
assist metal finishing industries, who have wastewater treatment
units, to Beet the waste minimization requirements of the new RCRA
§3002(b).  You should advise Water Management, Inc. that although
their potential clients will continue to be exempt from RCRA permit
requirements, their clients must comply with the  RCRA manifest
requirements of 40 CFR Part 262 for generators.   Also, they must
comply with 40 CFR Parts 261-263, as appropriate.  The clients will
need to sign the RCRA manifest for off-site shipments of the residue
resulting from the use of the sludge dryer, including the waste-
minimization certification statement on the- revised Uniform
Hazardous Waste Manifest Form (see 50 FR 28744-46, July  15,  1985).

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                               -  2 -
The client must also  submit a biennial report to the Regional
Administrator which  includes a description of the efforts under-
taken to reduce the  volume and toxicity, as well as a description
of the changes  in volume and toxicity of the wastewater actually
achieved during the  year, by comparing it to previous years
(§262.41, 50 FR 28746,  July 15,  1985).

     Since the  sludge drying unit  is  intended for use by persons
with wastewater treatment units, and  the facilities with these
units are exempt from RCRA permitting, it is unclear why Water
Management, Inc. wants  a research, development, and demonstration
permit to test  the unit.  You should  discuss this issue with
Water Management, Inc.  to determine if you should spend the
resources on processing their permit  application.

     If your staff has  any further questions on this matter,
please have them contact Nancy Pomerleau at (FTS) 382-4500.

Attachment

cc:  Bruce Weddle
     Jack Lehman  (WH-565)
     Irene Homer (WH-565A)
     Ken Gray     (LE-132S)
     Peter Guerrero
     Art Glazer
     Nancy Pomerleau
     Tina Parker (WH-562)
     William Rhea, Region 6
     Hazardous Waste Division Directors, Regions I-X

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     \          UNITED STATES EN VIRONMENTAL PROTECTION AGENCY

                              WASH.NCTON. O.C.  204               9503.51-lA

                                                                  Attachment
                                  JU.  3 I  1981
                                                                   OMici
                                                        IQUIO
lichard  C. Bojntoa, ChiLef
Permits  D*»elopmeae Section
U.S. EaTiroamaaeal Prouaceioa Agency
John F.  lamedy loildim
lee too,  Haaaacboaeeta  02203

tat  Suspeasioa of lafulacioms for Vaseevaeer Treatm*ne Daies

     Mr. Boyacoa:
     This letter responds to your receat request for aa interpretation of the
regulations of November 17, 1980 (45 FX, 76074) which suspended certain require-
aaaes of eha hazardous waste regulations for owners and operators of vastewatar • •
eraeemaac uales where ouch facilities ara subjece eo regulation uader Section 402*
or 307(b) of the dean Vaear Ace.

     Tour laeear is correct ia stating that there is aochiag ia ehe definitions,
preamble, or refulaeions which precludes aa off-site hazardous waste management
facility froa qualifying for a suspeasioa of the hazardous waste requirements in
40 CF1 Parts 122, 264 and 26S.  The Agency considered limiting ehe suspension and
proposed amendments eo oa-siee facilities bue was unable eo Justify chat this
type of facility was inherently less hazardous than aa off-site facility so as to
aecassieaca differeae standards.  Accordingly, EPA does aoe iaeaad eo diseinguish
between on-sita aad off-site facilities ia this regulatioa.

     Even under tha terms of the suspension, hazardous waste shipped to an off-
site facility will, of course, ba subject eo ehe manifest requirements.  In addi-
eion, ehe creacmene facility must be subjece eo regulation uadar eieher Seceion
402 or 307(b) of the Clean Vaear Act.

     To ba compleeely exempted for now (aad uleiaaealy subjected eo the permit
by rule) all units ia a facility aust meet the definition of 'eank" in $260.10.
Lagoons, incinerators, aad oeher types of facilities are not eligible.  I: is,
however, true that ehe defiaieioa of "tank" is rather broad, covering unit opera-
eioas which are aot obviously tanks such as presses, filters,  sumps, and many
other types of processiaf equipaeat.

     The Ageacy also iatends that ehe phrase "subject to regulatioa uadar either
Sectioa 402 or 307(b) of ehe Clean Vaear Act* should be liven  e broad interpre-
tatiott.  This phrase includes all facilities that are subjece  to HPDIJ permits
aaor encompasses facilities subject to either categorical pretreitment standards
or fsjaaral pretreAtaetit standards.  It is not necessary that tha permits aeeually
be Issued or that pretreatmant standards actually ba ia force. It is sufficient
chat the facility ba vubject to  tha requirements of tha dean  Vater  Ace.

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                                      - 2 -
      It should  b« aotitd th/--.  alUibl*  faellitias must la ftct ba traatiaf  •vaats-
 watara' aad  aot comcsjntratad  chemicals or aoa aqua out vast as.  Wall* v«  hara aec
 promulfacad  a fornal  tfaflaltioa,  «•  ara iatarvratiaf tha tan to rafar to  vast**
 vhlch *r«  •ubtcaelAlly ««c«r vita coatamia*ats aeuatiaf ce « f«v p«rc«ac ac
 909 1.   It  b*J b««c augiMtad  that a  fenal dafiaieioa would b« helpful.  V«
 ceaaidartnf  addlaf inch a  dafialciea ee ca« floal promulgation.

      Public  eooaaati  on ch« BoT«mb«r 17, 19*0 proposal also aottd taat SOM    t-
 vacar craataaae uales do aoe  diaeharia a liquid atraaa aad tbu« art not  subjact to
 tha  Qaaa  Watar act.  OA  la  eoaaldarlac caaaflaf tali '•ubjtct to" laafuaia to
                                         * axp«et to flaallM tha propoaad
 rafolatloaa  for vaatavatar tra*CMat oalla aad alaMatazy aaatrallcatloa units
 wit his ta« aaxt f«w month*.
     If you hava any furtaar quastlons, plaasa do not hasltata to <•-M
Lladaay, tha Dapvtj Division Mraetor at ITS 753-9113.

                                          Siaearaly yours,
                                      M or rrad
                                          Jobs ?. Uhaan, Diraetor
                                  Eaxardout & laduatrial Vajta Wrlaion
ee:  Daaals Haubaar
     EPA, Rafioa I
     Eraast
     EPA lag ion II

     Bobart L. Allan
     EPA tef ioa III

     Jaaaa Scarbroufh
     EPA teflon Z?
1. Staa Jorfaasaa
Z?A lagloa 71

tobart L. Herby
0A Ugioa VII

Lavrnea ?. Gasda
ETA lafloa VIII

Arnold t. Dan
EPA Uflon IX
     Karl J. KLapitsch
     EPA Bag ion 7
Kaaaath D.
EPA Rafion Z

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           UNITED STATES ENVIRONMENTAL PROTEC	-"-~

                      WASHINGTON. D.C. 20460               9503.52-lA
                                  JAN  2
                                              SOLID WASTE AND EMERGENCY RESPONSE


C. T. Philipp, P.E.
President
Water Management, Incorporated
2300 Highway 70 East
Hot Springs, Arkansas 71901

Dear Mr. Philipp:

     In your letter of December 5, 1985 you requested that the
Agency identify the Resource Conservation and Recovery Act
(RCRA) status of sludge dryers that are part of a "conventional
treatment system* not regulated by RCRA.  You questioned whether
adding a sludge dryer to a wastewater treatment unit exempted
from RCRA permitting will jeopardize the exemption.  The RCRA-
Superfund Hotline correctly identified sludge drying for you as a
treatment process according to the definition of treatment in
40 CFR §260.10.  However, when sludge dryers meet the definition
of wastewater treatment units, they qualify for the wastewater
treatment exemption of SS264.1(g) (6), 265. He) (10), and
270.l(c)(2)(v).  In your case, adding a sludge dryer to treat
sludge generated by a treatment system operating under a wastewater
treatment exemption does not subject the treatment system to RCRA
permitting.

     As you know, sludge dryers must meet the three criteria in
the definition of wastewater treatment unit in order to be
part of a wastewater treatment exclusion.  First, the information
you sent shown that your sludge dryer qualifies as a tank as
defined in $260.10} that is, it is designed to contain hazardous
waste and is constructed primarily of nonearthen materials that
provide structural support.  Furthermore, the Agency has clarified
the definition of tank—for this exemption—to include unit
ope ratio no such as presses, filters, sumps; and many other types
of processing equipment.  (See the attached memorandum dated
July 31, 1981, from John Lehman to Region I.)  In addition,
the preamble of the November 17,  1980, proposed rule  (45 PR
76077-76078) clarified the definition of a wastewater treatment
unit as follows:

     This definition. ..covers.. .the sludge) digesters,
     thickeners, dryers and other sludge processing tanks...
     in which hazardous wastewater treatment sludge is
     treated? and any...tanks used for the storage of
     such sludge.

-------
     Secondi th« sludge dryer treats or stores a wastewater
treatment sludg« which is a hazardous waste as defined in $261.3
(i.e., the Kludge  itself  is a listed waste, derived from treatment
of a listed waste, or is  hazardous on the basis of characteristics
identified in $261 Subpart C).  This means that the treatment of
sludges generated  from wastewater treatment units is also exempt
from regulation under the RCRA  treatment standards.

     Tanks (here a sludge dryer) that do not themselves have any
discharge subject  to regulation under Sections 402 or 307(b) of
the Clean Water Act, but that are part of the wastewater treatment
system, qualify for the exemption if other tanks in the treatment
train have discharges that are  subject to these Clean Water Act
provisions.  So the third condition, being pa0t of a wastewater
treatment unit subject to regulation under Section 402 or 307(b)
of the Clean Water Act, can be  met by sludge dryers in certain
circumstances.  However, as the November 17, 1980 preamble stated
(45 PR 76077), even the proposed regulations....'may not provide
adequate environmental protection where treatment of the hazardous
wastewater tends to result in the escape of hazardous waste
constituents into  the atmosphere (e.g., the treatment of highly
toxic volatile wastes in  open tanks).*  Unless the Administrator
promulgates regulations covering wastewater treatment units,
wastewater treatment tanks that qualify for exemption under
current RCRA standards may volatilize their contents and retain
the exemption.

     Sludge dryers may be used  as part of a program to meet the
waste minimization requirements of Section 3002(b) of RCRA without
requiring permitting if the above conditions are met.  Of course,
although exempted  from permitting requirements in the wastewater  •.
treatment units, any hazardous  waste sludge that is removed from
the tanks is subject to applicable regulations under $5260-266,
such as manifesting off site, permitted storage after 90 days,
and so on.  If you have any additional questions regarding this
exemption £or wastewater  treatment units, please do not hesitate
to call Irene Homer at 202-382-7917.

                                Sincerely yours,
                              if W«
     Winston Porter
V Assistant Administrator
\\
Enclosure

-------
                                 WATER MANAGEMENT, INCORPORATED
                                              2300 HIGHWAY 70 EAST
                                            HOT SPNINOS. ARKANSAS 71901
                                                 
-------
Page Two

U.S. EPA

December 5f 1985
     Blll you please "view  chis


                    accurate unifornsvers  to this quests.
                                           6
                                           C.T. Philipp,  P.
                                           President
 CTP/mjt


 Enclosures


 cc: Marcia Williams,
       Director of Office  of  Solid Wastes
     Governor  Bill Clinton,

        State of Arkansas

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                                                       9503.1991(01)
               UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                         WASHINGTON. D.C. 20460
                            MAY 2 I 1991
                                                       ...- t,ct Ot-
                                                                RESPONSE
Mr. Steve Nowak, Controller
Compacting Technologies International
2417 N.W. Thurman
P.O. Box 29046
Portland, Oregon 97210

Dear Mr. Nowak:

     I am writing in response to your letter, dated
March 14, 1991, in which you request clarification of the
definition of treatment.  Of particular concern to you  is whether
treatment includes practices such as compacting hazardous waste
inside a steel drum.

     As described in your letter, Compacting Technologies
International (CTI) sells a machine that compacts hazardous waste
inside a steel drum; the benefit to the customer is a reduction
in waste volume and thus, a reduction in disposal cost.  Your
concern seems to be whether such a practice constitutes treatment
that is subject to the permitting requirements of
40 CFR 270.

     Treatment is defined in 40 CFR 260.10 as "...any method,
technique, or process, including neutralization, designed to
change the physical, chemical, or biological character  or
cpmposition of any hazardous waste so as to neutralize  such
waste, or so as to recover energy or material resources from the
waste, or so as to render such waste non-hazardous, or  less
hazardous; safer to transport, store, or dispose of; or amenable
for recovery, amenable for storage, or reduced in volume"
(emphasis added).  Based on the limited amount of information  in
your letter, a machine that compacts hazardous waste in a drum
will meet the definition of treatment if the reduction  in volume
results in a change in the physical, chemical, or biological
character or composition of the waste.  Bear in mind, however,
that under many circumstances, RCRA permits are not required  for
generators who treat their waste on-site in tanks or containers
(see enclosed memorandum dated June 17, 1986).

-------
     A final determination on whether a permit is required for
such a compaction practice, however, must be made in the EPA
region or authorized state where this machine will be operated.
The determination will be subject to site-specific conditions and
waste types that are best assessed by regional or state
personnel.

     I hope thj.3 information is helpful.  Again, if more specific
information is needed, please contact the applicable EPA regional
office or the authorized state.
                                   Silvia K. Lowrance
                                   Director
                                   Office of Solid Waste

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f  dT»  \       UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
  *"  " ^                  WASHINGTON. D.C. 20460
                                                       9503.1993(01)

                               PEC 02 1993
                                                            OFFICE OF
                                                       SOLID WASTE AND EMERGENCY
                                                            RESPONSE
 MEMORANDUM
 SUBJECT:   Eligibility of In-Situ Vitrification  Technology to
           Research, Development, and Demonstration Permitting

 FROM:      Frank McAlister, Chief
           Assistance Branch
           Permits and State Programs Division  (5303W)

 TO:        Dan Duncan
           RCRA Permitting Section  (HW-1'06)
           Region X


     Thank you for your recent inquiry regarding  the Department
 of Energy's (DOE)  June 25, 1993 request for an  eligibility
 determination on the permitting of in-situ vitrification (ISV)
 technology under the Research, Development, and Demonstration
 (RD&D) permitting program (40 CFR 270.65).

     In their June 25 letter to Region X, DOE expressed concern
 that ISV may  not be eligible for RD&D permitting,  citing a
 section from  page 7 of the "EPA Guidance Manual for Research,
 Development,  and Demonstration Permits under 40 CFR Section
 270.65"  (EPA/530-SW-86-0008,  July 1986) prohibiting the RD&D
 permitting of technologies that involve placement  of hazardous
 wastes into or onto the land.  Placement of hazardous  wastes
 triggers the  land disposal restrictions (LDRs), and constitutes
 disposal,  not treatment.   However, ISV technology  treats wastes
 in place and  does  not involve placement.  The Agency,  at
 55 FR 8758, March 8,  1990,  states that "Placement  does not occur
when waste is consolidated within an AOC  [area  of  contamination] ,
when it is treated in situ,  or when it is left  in  place."  Since
 in-situ treatment  is  not  considered placement,  it  does not
 constitute disposal,  and,  therefore, should not be denied
 eligibility for permitting under RD&D based on  the placement
 issue.

     If an RD&D permit is  issued to DOE for ISV technology, we
are interested in  receiving monitoring data obtained at the
collection hood, and  from the lateral and lower boundaries of the
unit.  This information will help us further evaluate ISV.
technology.
Recycled/Recyclable
Printed with Soy/Canola ink on paper mat
contains at least 5CTX recycled lloer
                                                  \  <{\
                                                  ~K~7

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     Thank you for the opportunity to respond and provide input
to RCRA permitting activities in Region X.  If you have any
questions, please call Jeffrey Gaines at  (703) 308-8655.

cc:  James Michael, OSW
     Larry Rosengrant, OSW
     Jeffrey Gaines, OSW
     Barbara Pace,  OGC
     James Cummings, TIO
     Carrie Sikorski, Region X

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9504 - COMPLIANCE
AND ENFORCEMENT
                ATKl/l 104/55 Icp

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                                                          9504.1984(01)
    \      UNITED ST.- TLJ ENVl^C* 'MENTAL PROTECTION AGENCY

                     WASHINGTON. D.C. 20460
                               1C 1S34
MEMORANDUM

SUBJECT:  Enforcing Groundwater Moni'toring Requirements In
          RCRA Pare B Permit Applications
FROM:     Courtney M. Price
          Assistant Administrator for Enforcement
            and Compliance
          Lee M. Thomas
          Assistant Administrator
          Office of Solid Waste and Emergency Response

TO:       Regional Counsels
          Regions I-X

          Air and Hazardous Materials Division Directors
          Regions I-X

     Existing regulations under the Resource Conservation and
Recovery Act (RCRA) require owners and  operators  of hazardous
waste land disposal facilities to conduct groundwater monitoring
in order to obtain a Part B RCRA permit.  (40 CFR 270.14(c)(4) .
(6), and (7); 40 CFR 264.98(h)(2) and 264.99(f».  To satisfy
these requirements, owners and operators oust, under certain
circumstances, monitor for each constituent listed at 40 CFR
Fart 261, Appendix VIII.

     Recently a number of Regional Offices, in response to
inquiries from the regulated  community, have  questioned whether
certain groundwater^monitorlDg .requirements .might, be wafveiTTh
appropriate circumstances"  Specif icially questioned  is the
need to monitor for each and  every constituent listed in
Appendix VI XI.

     There are essentially three arguments  advanced to support
selective waiver of the regulatory requirements:

     1) certain constituents  listed  In  Appendix  VIII  are
un rt ab I^^n^aaj^r-Amf-tharef^^e^^wiLi^narJbe^etected  in
g'roundwater using generally accepted analytical  techniques;

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                             - 2 -


     2) EPA-accepted, standardized test procedures do not  exist
for some Appendix VIII constituents.Until such procedures  are
specified. E.r'A shOvlld not mquire facility owners to monitor
for these constituents; and

     3) certain constituents are not  analyzable by scan
methodology.Testing for these constituents is difficult,  and
che"Individual chemical methods used,  are very expensive and
•hould noc be required unless there is some reason co believe
that such constituents are actually present in the groundwater.

DISCUSSION

     Any request to waive or selectively enforce groundwater
monitoring requirements runs counter co Che high enforcement
priority the Agency has assigned co groundwater monitoring
violations and muse be viewed carefully.  Nevertheless, the
Agency recognizes chac Chere Is Cechnical merie Co some^of the
contentions sec forch above and isj^eveloping^ regulacory
cHangesco correcc these problems.  Proposal of chese changes
by Che Office of Solid Waste is expected In August 1984. and
chac Office plans Co promulgace the changes as a final rule by
early 1985.                                       	

     Recognizing the problems created by existing regulations,
we believe chac it is permissible for Regional enforcement'
personnel to"assign  low prioricy co certain technical r^gu1 a -
cpry violacions in appropriate cireunscances.  The firsc situa-
tion concerns che regulation which currencly requires permic
applicants co monitor for constituents which, because of their
chemical propercies, are noc detectable in groundwater using
generally accepted analytical cechniques.  The constituents
chac fall inco chis  group art sec forch ac Attachment I co
chis memorandum.  Because chese constituents  cannoc be detected
in groundwater, chere is no conceivable environmental benefit
Co be gained by requiring formal laboracory analysis.

     The second sicuacion which we believe aeries low
enforcement prioricy involves Che failure  co  monitor for chose
constitucncr for which chere are no EPA-approved  test methods.
These constituents are sec  forch ac Attachment  II cp chis
memorandum.  Vt believe chac low enforcemenc  prioricy  is
warranced in Chese cases because  che  absence  of  any  approved
test mechod makes meaningful analysis of any  reporced  data
difficult:.

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                             - 3 -


     .Unlike t:he first two situations, the last situation
presented by permit applicants does not warrant any change ,in
our enforcement priorities.  This situation concerns the need
to monitor for those constituents that are not analyzable by
scan methodology.  These constituents are listed In Attachment
III to this memorandum.  Applicants have argued that absent
some indication that such constituents are present in the
groundwater, no monitoring should be required.

     Thin argument it not persuasive.  The regulations clearly
require analysis for these constituents.  Unlike those constit-
uents Hated In Attachment II, accepted test procedures do
exist for Attachment III constituents.  The face thatTsucb7
test procedures are expensive Is  legally  Irrelevant.  Moreover,
EPA has previously rejected the notion that facility owners
can determine the hazardous constituents  emerging  from a  land
disposal unit from records detailing the wastes previously
disposed of at the facility.  Therefore,  a facility owner's
failure to monitor for these Attachment III co'n'stlegend" should
ordiharily fesult in enforcement  action.     ~	

Attachments

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                                     ATTACHMENT  I
Acetyl chloride
Aluminum phospbl.de
Carbon oxyfluoride
Dimethylcarbamoyl chloride
Fluorine
Methyl chloroeairbonate
Methyl isocyanate
Nitrogen dioxida
Phosgene
Toluene dliaocyanate
Zinc phosphide
                                      ATTACHMENT II
 Cacasin
 Echylenebisdithiocarbamic acid
 2-Fluoroacetaraide
 Iron dextran
 Lasiocarpine
 Mustard gas
 Nitrogen mustard,  N-oxide and HC1  salts
 Nitrogen mustard and HC1 salts
 Nitric oxide
 Phosphine
                                      ATTACHMENT III

  Cyclophosphaoide
  Formaldehyde
  Formic acid
  Hexachlorohexahydrodimethanonaphthalene
  Hydroxydiaethylarsine oxide
  7-Oxa.bicyclo[2.2.1]heptane-2,3-dicarboxylic acid
  Selenourea
  Streptozotocin
  Stry chine

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                                                          9504.1984(02)
           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

                      WASHINGTON. O.C. 20460
                          NOV 291964
 MEMORANDUM
SUBJECT: Part B Permit Applications with Insufficient
         Ground-Water Monitoring Data
 FROM:
TO:
Lee M. Thomas
Assistant Administrator for* Solid Waste and
Emergency Response

Courtney M.  Price V_J**~-<-—^    .    _^
Assistant Administrator for Enforcement and
Compliance Monitoring

Regional Administrators, Regions I-X
Regional Counsels, Regions I-X
Air and Hazardous Materials Division
  Directors, Regions I-X
BACKGROUND

     Regional personnel
with RCRA Part B permit
ground-water monitoring
data, specifications on
past monitoring results, and other aspects
protection as required by 40 CFR $270.14(c)
submitted in Part Bs is often insufficient
informational requirements of $270.14(c).
facilities to generate appropriate GWM data
               have raised questions as to how to deal
               applications containing insufficient
               (GWM) data. (This  includes hydrogeological
               well construction, sampling methodology,
                                  of ground-water
                                  .) The GWM data
                                  to satisfy the
                                  The failure of many
                                    prior to the Part B
due date has resulted in a number of incomplete Part Bs, as well
as complications and delays in the permitting process.
     While general guidance on responding t
Part B applications is set out in a memo da
the deficiency of a Part B with respect to
special case.  This type of deficiency is o
facility's failure to comply with Part 265
addressed (or if detected early can be avoi
of the Part 265 requirements.  Further, Par
GWM data are often submitted by facilities
of presenting substantial hazards to human
                                  o  late and  incomplete
                                  -ed September 9, 1983,
                                  y..*M data presents a
                                  ften the result of a
                                  requirements and can be
                                  •led) through enforcement
                                  -  Bs with  inadequate
                                  that have  been suspected
                                  health or  the environment

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                               -2-


through ground-water contamination.  If Orders issued under  RCRA
$3013 are used to require such facilities to gather appropriate
ground-water data, that data may also satisfy the Part 270  informa-
tional requirements and thus ensure that such facilities submit
adequate Part Bs.

     The purpose of this memorandum is to provide EPA Regional
Offices with guidance on which mechanisms can be used to prevent
GWM deficiencies in Part Bs, and to discuss what mechanisms  are
available to respond to deficiencies when they occur.

     This memorandum was prepared before RCRA reauthorization,  and
therefore does not reflect the new provisions regarding ground  water
protection or permitting.  Guidance on implementation of those
provisions will be provided separately.

I. GWM Information Needed in Part Bs

     Section 270.14(c) lists the requirements for GWM information
in Part Bs.  In essence, the permit applicant must characterize
the uppermost aquifer, describe any existing contamination,  and
provide all information necessary for EPA to establish either a
detection, compliance, or corrective action program in the
facility's permit.

     Data generated during a facility's  interim status period may
or may not fulfill the Part B information requirements.  In general,
if a facility has fully complied with the GWM requirements of Part
265, including well placement, sampling  frequency, and sampling
methodology, the results of interim status monitoring should be
deemed conclusive evidence of the presence or absence of contami-
nation.  In a majority of cases, however,.facilities have not
complied fully with 265 requirements.  This category includes
facilities which have installed only three downgradient wells,
where a minimum of four or more is necessary  to meet the standard
of $265.91.  Facilities which have not fully  complied with 265
requirements may need to do substantially more work, in some cases
including hydrogeological investigations and  well  installations,
before they can successfully meet Part 270 requirements.
EPA's Permit Applicant's Guidance Manual for  Hazardous Waste
Land Treatment, Storage, and Disposal Facilities,  and  the RCRA
Permit Writers' Manual for Ground-Water  Protection,  provide
descriptions of specific information needed  from applicants.

     Prior to or upon calling in a facility's Part B,  Regional
personnel should examine any available interim status  data  from
the facility, and determine what additional  data  the facility must
generate  in order to produce a complete  Part B.  This  determination
should be coordinated with  the joint permit  writer/inspector site
visit conducted when the Part B  is called  in.  This  initial  review
of  the facility, and early  setting of  expectations by  EPA,  is
essential to expediting  the Part B process.

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                               -3-
      If EPA makes clear to the facility what types of data are
 expected  in the Part B, and the initial Part B does not provide
 this  data, the Region should respond in accordance with.the
 "Late and  Incomplete Part B Policy'.  In such cases, conservative
 deadlines  should be set for the facility's response to a Notice
 of Deficiency.

      It should be noted that $270.14(c) requires more and different
 GWM data  than does Part 265.  In particular, S270.14(c)(2) and
 (4) to require facilities to investigate hydrogeological conditions
 at the site, including any plume of contamination that has entered
 ground water from a regulated unit at the facility.  In addition,
 in order  to satisfy $270.14(c)(6) - (8), facilities must provide
 information to support a determination of whether hazardous
 constituents (i.e., compounds listed in Part 2'61 Appendix VIII)
 are present in the ground water.  Regional personnel should
 explain to facility owners and operators as early as possible
 what  kinds of data (e.g., pieziometric, resistivity, pump-test,
 sampling  for Appendix VIII compounds, etc.) will be necessary  to
 meet  the  Part B requirements.

      Clearly, the exact type and extent of testing and  information
 gathering  will vary considerably from facility  to facility due  to
 such  site-specific factors as geology and contaminant  behavior.
 Also,  as  a technical matter, Regional personnel initially may  not
 know  exactly what types of data gathering are necessary from each
 facility.  Experience has shown that initial ground-water
 investigations often uncover problems which require further
 investigations.  Even under the best conditions of Regional
'attention to facility Part B preparation, applicants may have  to
 submit several Part B documents before  the application can be
 deemed adequate.  Although we understand that some delays of  this
 nature are inevitable, certain delays can be avoided through  early
 involvement between the Regions and applicants.

 II.   Facilities for which the Part  B Due Date Has  Passed

      In generalf the most appropriate  response  to  a  facility
 that  has  submitted an  incomplete or  inadequate  Part  B  is
 enforcement action under RCRA $3008.  The action  should cite
 violations of  40 CFR Part 270.  The "RCRA Civil Penalty Policy"
 should be used  to determine appropriate penalty amounts.

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                               -4-
III.  Facilities for which the Part B is Not Yet  Due,  and where  a
       Hazard May Exist

     Some facilities with significant deficiencies  irv Part  265
ground-water data may also be presenting hazards  to human health
or the environment through ground-water contamination.   EPA's
authority under RCRA 53013 can be used to gather  data  at
facilities for which the Administrator determines that the
presence or release of a hazardous waste may present a substantial
hazard to human health or the environment.  A 53013 Order may  be
used to require such monitoring, testing, analysis  and reporting
as the Administrator deems reasonable to ascertain  the nature.
and extent of such a hazard.  Revised Guidance on writing  53013
Orders was issued on September 26, 1984, and supersedes previous
Guidance.

     Data generated by facilities in response to 53013 Orders
could be used to satisfy Part B  informational requirements.
Therefore, activities required by 53013 Orders should be consistent
with monitoring activities required for compliance with Part
270, as well as with Part 264 requirements  that will be applied
in the future.

IV. Facilities for which the Part B is Not  Yet Due, and which
    are in Violation of Interim  Status Standards

     A major category of GWM deficiencies involves owners and
operators who are subject to but have not complied with interim
status ground-water monitoring requirements  in Part 265.  There
are a variety of Part 265 violations at facilities, ranging from no
monitoring wells in place to inappropriate  sampling techniques.
The result may be insufficient data from which the facility can
respond to $270.14(c).

     In some cases, prompt enforcement  of Part 265 violations may
be sufficient to ensure the development of  adequate GWM data  to
meet the  Part B  requirements.   For  instance,  if  the Part 265
violation is an  insufficient number of  monitoring  wells, the
specified remedy  (installing additional wells1 may be  sufficient
to provide data  for the S270.14(c)  requirements  for information
regarding possible ground-water  contamination and  for  a proposed
well network.

     Alternatively, where  a  Part 265  remedy will not  provide  usable
or  sufficient  information  to  satisfy  a Part B requirement,  and
where  a  substantial hazard  may exist,  it may be  more  appropriate
to  use  EPA's  broader  authority under RCRA 53013  to obtain  data.
Also,  where  a  Part  265  remedy  will not satisfy Part B requirements,

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                               -5-


and the Part B will be due shortly,  enforcing the  Part 265
requirements may be counterproductive.   In that  case  it may  be
more practical to wait for the Part  B due date and enforce  the
requirements of Part 270.   Of course, it is generally appropriate
to assess penalties for past violations of the Part 265 requirements,
regardless of whether future compliance with Part  265 is sought.

V. Facilities Not Currently in Violation of Interim Status  GW*
    Standards

     There is a range of situations  where an applicant is not in
violation of Part 265, but has not generated complete Part  265
data either.  These facilities' Part Bs do not include enough
Part 265 data to address the 5270.14(c) requirements properly.
This category of facilities includes:

     0 neutralization surface impoundments;
     0 facilities operating under a $265.90(c) waiver which
       was not evaluated by EPA or an authorized state;
     0 facilities located in states which prohibited
       well installation prior to state approval,  and the state
       issued its approval late (or has not yet done so); and
     0 facilities in early stages of Part 265 ground water
       •assessment"., and where contamination data is not yet
       available.

     In addition, new facilities often present little or no
existing data from which to evaluate compliance with 5270.14(c).

     The foregoing are complex situations and the appropriate
response may vary.  We intend to develop further guidance on the
information-gathering mechanisms that may be applicable  to
these categories.  As mentioned in Section  I of this memorandum,
Regional personnel should notify facilities as early as  possible
prior to or upon calling in their Part Bs  (or upon knowledge of
a planned new facility submittal) of the types of data  that must
be submitted in  the Part B in order  to satisfy S270.14(c).
These informational requirements should  be  further clarified
during the  EPA  joint permit writer/inspector  site  visit  when the
Part B is called in.

cc:  John Skinner
     Fred Stiehl
     Gene Lucero
     Tony Montrone
     Bruce  Weddle
     Jack Lehman
     Eileen Claussen
     Peter  Guerrero
     Ken  Shuster

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                                                                  9504.1985(01)
             RCRA/SUPERFUND/OUST  HOTLINE MONTHLY REPORT QUESTION
                                       MAY 1985
PCRA Inspections


6.  Section 3007 of RCRA allows for the entry of any duly authorized representative
    of the Agency to obtain copies of records and to inspect and obtain sanples at
    any establishment where hazardous wastes are or have been generated, stored,
    treated,  disposed of, or transported from.  Is this Agency representative in
    any way limited to what he or she can inspect and sanple?

        Authorized officers, employees and representatives,  including authorized
        contractors, are allowed to enter any portion of a facility which is being
        or has  been used to generate or nonage hazardous wastes.  Such persons nay
        inspect and obtain sanples of v>3**rA-nR wastes and inspect containers and
        labelling of such wastes.  The inspection nust be for the purpose of devel-
        oping regulations or enforcing provisions of RCRA.   The specific objective
        of the  inspection does not have to be written in any form, but the inspection
        mist strictly deal with the generation, management or transportation of
        hazardous waste.

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ttJG-15-1996 18:56   FROM EPft OE-RCRft             TO        ,97032088609  ; Pi 02 ;-,
                                                 ^
                                                       *
  ussy
UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

            WASHINGTON. D.C. 20460        -"'  -
                                                         9504.1986(02)
                                   17 1386.


   MEMORANDUM

   SUBJECT*  Inspection Authority Under Section 3007 of RCRA

   PROM:     Francis 6. Blake«£— fc <&/££~/* —
             General Counsel   .

   TOi       J. Winston Porter
             Assistant Administrator for  Solid Waste and
               Emergency Response


        A number of questions have arisen concerning the scope
   of the Agency's ilnspection authority under section 3007 of
   RCRA.  AS discussed below in more detail, I believe that our
   inspection authority (Including the authority to sample)
   extends to any establishment, place, or facility that either
   presently or* in the past has handled solid wastes that EPA
   reasonably believes may meet the statutory definition of a
   hazardous waste.  This authority is limited by the fact that
   it must be used to gather information  concerning hazardous
   wastes and must be exercised for the purposes of RCRA rule-
   making or enforcement.  Within these limits, section 3007
   authorizes inspections in connection with a number of RCRA
   provisions including the Agency's section 7003 imminent
   hazard authority, its present Subtitle C regulations, its
   corrective action authority under sections 3004 (u) and 3008{h),
   and its Subtitle D authority under sections 4005 and 4010.

        Section 3007 (a) provides that "If lor purposes of developing
   or assisting in the development of any regulation or enforcing
   the provisions .of this title," EPA is  authorized

        (1) to enter at reasonable times  any establishment
            or other place where hazardous wastes are or
            have been generated, stored,  treated, disposed
            of or transported from;

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RUG-15-1996 18:56  FROM EPfl OE-RCRfl             ,JO .'.y. -..-:-. 97033088609 . P.63
                           •   -  2 -


        (2)  to inspect and obtain samples  from any  person of
            any such wastes and  samples of any containers or
            labeling for such wastes.

       A plain reading of this language unambiguously suggests
  a  broad grant of•inspection authority.   As  noted  above/ the
  exercise of this authority is  expressly  limited by  only two
  conditions.  First, the specific information gathered must
  relate to hazardous wastes. Second, it  must be used for the
  purposes of RCRA ruleraaking or enforcement.  .Each of these '
  conditions, while providing clear  limits on the use of the
  Agency's inspection authorityt is  nonetheless stated in
  expansive terms. I/

      • a.  Hazardous Wastes

       The first condition is stated in general unrcstrictivc
  language.   By providing authority  to enter  "any establishment
  or other place where hazardous wastes are or have been gener-
  ated t Stored, treated, disposed of or transported from*
  (emphasis added)/ Congress unequivocally provided for a broad
  application of the Agency's inspection authority.   There is
  no limiting reference in this  language to Subtitle  C facilities
  or units.   Nor is there any requirement  that the  hazardous
  waste management activity be currently ongoing or even that
  the site of the activity be a  disposal area.   For example, .
  under the language noted above, EPA's inspection  authority
  extends to generator sites, storage areas,  treatment opera-
  tions and transfer points.  Thus,  the emphasis is on any
  geographical location where hazardous wastes presently may be
  or in the past have been handled - whether  or not in compliance
  with Subtitle C.  Quite clearly, this may include solid waste
  management units otherwise subject to Subtitle D.

       Use of the phrase "hazardous  wastes" is itself a further
  indication that the scope .of section 3007(a) is  not limited
  to Subtitle C facilities and units.  Unlike sections 3002
  through 3004 and section 3010, Congress  did not confine the
  operation of 3007(a) to "hazardous wastes identified or listed
  under this subtitle" (emphasis added).   As  explained in the
  preamble of the May 19, -I960 hazardous waste identification
  I/   The inspection provisions of section 3007(a)  are similar
       to those under section 104(e)  of -CERCLA.   Although not
  addressed in this discussion/  it is important  to note that
  section 104 (e) as well as other provisions of  CERCLA may
  provide additional and independent grounds for entry and
  inspections at solid waste facilities.

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RUG-15-1996 10:57.  FROM \EPfl OE-RCRR   ..         TO   .   .   97033888689   P.84
                               - 3 -
  and listing rules 2/ and more recently articulated in the
  Agency's amendments to the definition  of  solid  waste 3/ , EPA
  believes Congress*  unrestricted use  of this phrase confirms
  that  the scope of section 3007(a)  extends to any solid waste
  that  the Agency reasonably believes  may meet the statutory
  definition of a hazardous waste under  section 1004(5).
        As defined by Congress,  the term hazardous  waste means
  any solid waste that EPA reasonably baliovoe

           because of its quantity, concentration,  or
           physical, chemical, or infectious charac-
           teristics may         .

           (A) cause or significantly contribute to an
               increase in mortality or any increase in
               serious irreversible,, or incapacitating
               revere iole, illness; or

           (B) pose a substantial present or potential
               hazard to human health or the environ-
               ment when improperly treated <• stored,
               transported, or disposed of/ or otherwise
               manage'd.  ( eiuphas is added )

  Clearly a waste which is "classified* as hazardous pursuant
  to regulations under section  3001 (i.e., is listed or meets
  one of the characteristics) would automatically  fall within
  the scope of the section 1004(51 definition.  But just as
  clearly, any other solid waste that "may pose a. . .hazard. ..
  when improperly. ..managed" (emphasis added) also meets the
  statutory definition even though no formal action identifying
  it as a hazardous waste has been taken.  This second group
  includes, for example, solid  wastes containing any of the
  hazardous constituents lie ted in Appendix. VIII to Part
   2/   45 Fed. R<32.. 33084, 33090 (May 19, 1980).

   3/   50 Fed. Reg. 614, 6.27 (January 4, 1985); 40 CFR §
        2€l.l(b)(2).

   4/   This view was expressly affirmed by Congress in its
        consideration of the 1984 Hazardous and Solid Waste
   Amendments: "EPA's authority under these provisions [sections
   3007 and 70031 is.not limited to wastes that are 'identified
   or listed* as hazardous, but rather includes all wastes that
   meet the statutory definition of hazardous waste.* E.R. Rep.
   No. 198, 98th Cong., 1st Sess. 47 (1983).

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RUG-15-1936 18:57  FROM EPfl OE-RCRfl              TO . •• , •     97833888689  ; P.85
                              - 4 -
  which may form the basis for listing actions under  40 CFR
  § 261.11.  As explained at length in the Agency's Hay 19,
  1980 rule, "the presence of any of these constituents in  the
  waste is presumed to be sufficient to list the waste unless
  after consideration of the designated multiple factors
  [specified at 40 CFR S 261.11] EPA concludee the waste  ie not
  hazardous." 5/                                      .
              "*"               .    .           *
       There ie little guoction that znaterialc mooting the
  definition of hazardous waste may be improperly disposed  of
  at Subtitle D solid waste management sites.  We, therefore,
  believe the scope of section 3007(a) may extend to  such
  locations.  As Congress recognized in enacting amendments to
  Subtitle D as part of the 1984 Hazardous and Solid  Waste
  Amendments,                                   -

          Subtitle D facilities are the recipients of-
          unknown quantities ot hazardous waste and other
          dangerous materials resulting from the disposal
        .  of household waste, email quantity generator
          wastes and illegal dumping. 6/ (emphasis added)

       To interpret EPA's inspection authority as applying  only
  to wastes managed at Subtitle C facilities or units leads to
  the incongruous result of EPA'6 inspecting a self-defined
  class of facilities that have already acknowledged  their
  hazardous waste management responsibilities.  This  narrow
  interpretation essentially precludes the Agency from identi-
  fying other situations where the improper and unacknowledged
  storage or disposal of hazardous wastes may pose a  threat to
  the environment,  we do not believe that this is either whaf
  Congress intended or what the plain language of section
  3007(a) suggests.

       b.  Ruleraaking and Enforcement

       The second condition of section 3007(a) explicitly provides
  hazardous waste inspection authority "tfJor the purposes  of
  developing or assisting in the development of any regulation or
  enforcing the provisions of this title" (emphasis added).   In   .
  passing the 1980 amendments to the Solid waste Disposal Act,
  Congress substituted the tern "title" in place of "subtitle"
  specifically to extend the scope of section 3007(a) beyond
  Subtitle C.  As explained in the accompanying Senate report,
  this change
  5/    45  Fed.  Reg.  33084,  33107.                 '

  6/    H.B.  Rep.  No.  1133,  98th Cong.,  2d  Bess,  117 (1984).

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HJG-15-1936 10:58   FROM EPfl OE-RCRfi             TO    .  -  97033888609  P.86
                              - 5 -
           ,  .  * expands the Administrator's authority
           to request  information or examine the records
           of a person handling solid waste.  At present,
           this authority applies only to actions under
           Subtitle  C  dealing with hazardous wastes.
           The  amendments would allow such access for
           purposes  of the entire Act. 7/.
                                         .
       Thus  it ic clear that the Agency's inspection authority
  extends  not  only  simply to Subtitle C actions but also  to  •
  activities under  other RCRA Subtitles, as well.  Within the
  general  constraint,  that it be related bo haeardouc waste,  the
  scope  of section  3007(a) authority is determined primarily by
  the specific ruleraakinc. or enforcement purposes for which  it
  is used. .  in tills context^ we believe there are e number of
  legal  bases  under which the authority to enter and inspect is-
  broadly  available to the -Agency.

       1.  Rulemaking

       With  regard  to rulemaking, section 3007(a) by its  term*
  is available to assist "in the development of any regulation"
  under  RCRA.  Undec  this provision, we believe that the  Agency
  has the  authority to gather preliminary data both to  determine
  the need for regulation and, where the need  is established,
  to develop an appropriate regulatory strategy adequate  to
  carry  out  the requirements of FCRA.  Depending on the criteria
  and relevant requirements of the provisions or section  under
  which  a  particular  rulemaking is developed,  this may  include
  detailed scientific, technical, or financial questionnaires
  and surveys/ as well as on-site inspections  and sampling.

       This  authority extends not only to ruleroakings under
  Subtitle C but, as  noted above, to ruleraakings under  other
  provisions of RCRA. With recpoct to Subtitle C,  this authority
  would  extend, for example, to gathering information to  as'sist  .
  in developing corrective action standards  under section
  3004(u).  Because the provisions of section  3004(u) apply  to
  both solid waste  and  hazardous waste units at any  facility
  seeking  a  section 3005(c) permit, the  inspection  and  sampling
  authority  of section  3007 would also extend  to such unite  to
  assist in  gathering data relevant to the rulemaking process.

       With  respect to  nbn Subtitle C provisions,  section 4010
  provides an  example of section 3007's  applicability under
  Subtitle p.  Enacted  as part of the 1984 BSWA amendments,
  section  4010 requires  the Administrator to conduct a  study on
  7/    S.  Hep. No. 172,  96th Cong.,  2d Sess. 3 (1979); see also
        H.R.  Rep. No,  1444,  96th Cong., 2d Sess. 35 (1980).

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UG-15-1996 18=58  FROM EPR OE-RCRfl           . TO -:      9TO33088609 . P.8?
 the  adequacy of  existing  Subtitle  D guidelines and criteria
 and  to  promulgate  revised criteria for Subtitle D facilities
 that "may receive  hazardous  household wastes or hazardous
 wastes  from small  quantity generators under section 3001(d)*.
 Because one of the purposes  of the study and the central
 purpose of the revisions  is  to address hazardous wastes at
 Subtitle.D facilities,  we believe  the-Agency's entry  and
 inspection authority under section 3007{a) extends to gather-
 ing  information  at Subtitle  D facilities both for hhe purpose
 of conducting the  study as it relates to hazardous wastes and
 to assist in developing revisions  to existing Subtitle D
 criteria.

      2.   Enforcement

      With regard to enforcement, the scope of section 3007(a).
 is equally broad and, again, extends not simply to Subtitle C
 actions but also/  tor example, to  enforcing Lhe broad imminent
 hazard  provisions  of section 7003(a).  By its terms,  this
 section applies  to any  situation under RCRA (whether  or not
 it is regulated  under Subtitle C)  in which "the past  or pre-
 sent handling, storage, treatment, transportation or  disposal
 of any  solid waste or hazardous waste may present an  imminent
 and  substantial  endangerment to health or. the environment"»

      In addition to enforcing section 7003, the Agency's
 inspection authority is available  to gather information in
 support of actions under  the general Subtitle C enforcement
 authority of section 3G08, as well as under the Subtitle D
 enforcement authority of  section 4005(c).  With respect to
 both sections, EPA interprets its  "enforcement" inspection
 authority to extend not only to information gathering in
 connection with  a  particular judicial or administrative
 proceeding but also to  assist in the preliminary day-to-day
 information gathering end data analysis associated with
 permitting and compliance assessments that ultimately may
 lead to specific enforcement actions.  Section 3008 applies to
 a "violation of  any requirement11 of Subtitle C and thus, for
 purposes of enforcement,  the inspection and sampling  authority
 of section 3007  is available for determining and assuring
 compliance with  any Subtitle C requirement*  Onder section
 4005(c),  EPA's inspection authority is also available but  in
 a somewhat more  limited context for purposes of enforcing
 Subtitle D open  dumping criteria that have been revised under
 section 4010. This open  dumping enforcement authority and,
 by extension, EPA's inspection authority is available only  in
 those circumstances where a  state  has tailed to adopt an
 adequate program assuring compliance with the revised criteria.

      In the case of inspections at a Subtitle C facility to.
 determine compliance with applicable hazardous waste  regulations/
 the  scope of section 3007(a) authority is determined, again.

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UG-15-1996 18:59  FROM EPfl OE-RCRfl             TO  ...     97833088609  P.88
                             - 7 -
 by the two constraints that the information gathered relate
 to hazardous wastes and be used to enforce a RCRA provision.
 The clearest example of an authorized inspection at such a  •
 facility under section 3007(a) is, of course/ sampling at
 solid waste units that are expressly managed as Subtitle C
 hazardous waste units.  The information obtained unquestion-
 ably will relate to hazardous wastes and can be used to
 enforce applicable regulatory requirements.  However", it
 should be emphasized/ as noted above, that section 3007{o)
 inspection authority just as clearly extends to other non-'
 subtitle c units at a Subtitle C facility where there is some
 basis for concluding that they nay also provide information
 relating to hazardous wastes.  Samples from the non-Subtitle  •
 C unit may provide information concerning hazardous wastes
 that have been disposed of in the unit Itself,-and, .in certain
 circumstances, the samples may provide information 'regarding
 the management of hazardous wastes 'that have been placed in
 nearby Subtitle C units.  An example of the second case would
 be a situation in which both the solid waste and hazardous
 waste units were located near one another over the same
 aquifer.  Depending on the hydrogeology at the site and the
 placement of wells at each unit, samples from the solid waste
 unit, may well provide information regarding leachate from the
 hazardous waste unit.

      The corrective action requirements in sections 3004(u)
 and 3008(h) provide additional grounds for the broad applica-
 tion of section 3007's enforcement inspection authority.
 Section 3004(u) requires corrective action 'for all releases
 of hazardous waste or constituents from any solid waste
 management unit at a...facility seeking a permit under this
 Subtitle [C]B (eni phasic added], B/  Congrecs made clear that
 the phrase "solid waste management unit* .was specifically
 8/   Congress specifically provided that the corrective  action
      requirement is to be implemented through standards  promul-
 gated under section 3004 and permits issued after November  8,
 1984.  EPA's inspection authority for rulemaking purposes is
 discussed above.  The Agency has incorporated the general
 requirement for corrective action in its regulations at  40
 CFR § 264.101.  See 50 Fed. Reg. 28747  (1985).  Thus,  the
 requirement is presently in effect and  applies to any  "facility
 seeking a permit for the treatment, storage or disposal  of
 hazardous waste..**.  40 CFR § 264.101(a)..  EPA  intends  to
 issue more detailed national standards  addressing appropriate
 corrective action for releases of hazardous waste or consti-
 tuents from solid waste management units at such facilities,
 but until such standards are established the Agency will
 implement the corrective action requirement of section 3004(u)
 on a case-by-case basis.  See 50 Fed. Reg. 28713  (1985).

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RUG-15-1996 11:03  FROM  EPft OE-RCRfl             TO        97033888609 . P.09
                              - 8 -
  added to the language of section 3004(u)  "to reaffirm the
  Administrator's responsibility to examine all units at the
  facility £rom which hazardous constituents might migrate,
  irrespective of whether the units were  intended for the
  management of solid or hazardous wastes."
       By explicitly requiring that the  provisions  of  section
  3004 (u) apply to any solid waste  management unit  at  a hazardous
  waste facility/ Congress has made the  cleanup  of  such units
  an element of hazardous waste management under section 3004.
  Congress'  specific reference to releases o£ hazardous consti-
  tuents from solid waste management units confirms the broad
  scope of section 3004 (u) and is consistent with the  Agency's
  Interpretation of hazardous waste discussed above/ which
  includes not only "identified" hazardous wastes but  also
  those wastes that may contain hazardous constituents listed
  in Appendix viii of 40 CFR Part 261.   These factors  when
  considered in conjunction with the explicit legislative
  history noted above reaffirming "the Administrator's respon-
  sibility to examine all units" at a Subtitle C facility
  confirm that Congress considered  the regulation of these
  units to be an integral, part of the hazardous  waste  program
  under Subtitle C and thus clearly within the scope of section
  3007 (a) inspection authority.

       With respect to interim status corrective action authority/
  section 3008 (h) provides that "whenever on the basis of any
  information the Administrator determines there is or has been
  a release of hazardous waste into the  environment from a facil-
  ity authorized to operate under .section 3005 (e) of this
  subtitle,  tho Administrator way issue  an order requiring
  corrective action."  Congress viewed this provision  as "a
  supplement to EPA' s power to impose corrective action through
  permits* 10/y that EPA would uec  "to achieve the  environmental
  standards promulgated under section 3004." ll/ Because section
  3004  has been amended to extend corrective action requirements
  to all solid waste management units at facilities seeking a
  RCRA  permit/ the Agency has interpreted this mandate to
  authorize the issuance of corrective action orders to any
  interim status facility containing solid waste management
  units (regardless of whether they are  Subtitle C  or  Subtitle
  D units) from which there has been a release of hazardous
  waste to the environment. 12/
  9/   H,R.  Rep. No. 198, 98th Cong.,  1st Sess.  60 (1983).

       H.R.  Rep. No. 1133, 98th Cong.,  2d Sess.  Ill (1984).
  12/  See 50 Fed. Reg. 28716 (1985)

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RUG-15-1996  11:01   FROM., EPfl OE-RCRfl             TO        97833888609^;, P.10
                               - 9 -
        Because section 3008(h) extends corrective action
  authority to releases from any solid waste management unit  at
  an  interim status facility, we believe that section  3007(a)
  inspection authority also extends to such units for  the
  purpose of determining whether. there has been a hazardous
  constituent release and what corrective action would be
  appropriate.

  cc:   Richard H. Mays (LE-133)
        Regional Counsels  .

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This Page Intentionally Left Blank

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                                                   9504.1987(01)
 JUL  201987
SUBJECTi  Enforcement of Applicable RCRA  Regulations at Facilities
          with rending Dellsting petitions

FBOHz     G«ti« A. Lucero, Director
          Office of Waste Programs Enforcement

          flarcia Williams, Director
          Office of Solid Waste  (WH-562)

TOi       waste Management Division Directors
          Regions I, IV, V, VIZ, & VIZI

          Air ft Waste Maogeaent Division  Director
          tegioa ZZ

          Haiardous Waste Management Division Director
          Region III, VI | X

          Tocics i Waste Management Division Director
          Region ZX
     The purpose of this Msworanduai  is  to  restate Agency
policy regarding the enforcement of  applicable  RCRA
regolatioos at hazardous waste handlers that  have pending
(5*11 at ing petitions.  It has cove to our attention that so*«
Kegions and States aay be allowing non-compliance with sone
or all of the BC2A Subtitle C requirements pending a decision
on .active delisting petitions.  We are  reaffirming nere that
these was.tea remain hasardoas wastes and that they, and the
units in which they are managed, are subject  to all applicable
RCRA regulations, including financial responsibility, groandvater
aonitoriag and closure requirements, until the  delisting is
officially granted*  In addition, facilities  are still subject
to the 1988 and 1989 statutory deadlines for  permit issuance.

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                             -1-

     Sections  260.29  and  260.22 establish • petition process
which allowu a facility to demonstrate that its waate, although
captured by tha broad liatings of section 261.3, doe§ not aw«t
any criteria under which  the waste was listed, including the
presence of additional conatituanta.  Decisions on waate
delisting have alwaye been baaed on a chemical characterisation
of the waste itaelf and of tha processes generating that
waste, not on  facility deaign, management practices or sit*
conditions.  Therefore, until a final daciaion ia made to
grant the petition, the waste is hazardous and tha facility
remains subject to enforcement of all applicable regulationa
(including compliance with Subpart F groundwater monitoring
requireaents).  Facilitiaa that are not in compliance with
RCRA regulations are  subject to enforcement action.1

     Concommitantly,  facilities (excluding those with temporary
or informal exclusions) that had pending deliating petitiona
on November 8,  1985,  were aubject to the Loss of Interim
Status (LOIS)  provision of the Hatardous and Solid Waste
Amendments of  1984  (HSWA).  Facilities that failed to validly
certify compliance with Subparts F and H and submit a Part B
application for an operating permit on or before November 8,
1985 were required to cease operating their hasardous waste
land disposal  unita and submit a cloaure plan for those units.
by November 23, 1985.  Facilities with pending daliating
petitions that  failed to  retain interim statua and continued
to operate after November 8, 1985, and/or failed to submit the
required closure plan are subject to enforcement actions
under Section  3908 Of RCRA.
1  Facilities whoaa only waste was subject to a temporary  or
   informal oxclusion ware not required to meet Part  265
   standards during the effective time of the exclusion.
   However, all temporary and informal axclusiona  that had
   not previously bean actad on expired by statute on 11/8/86
   (Section 3001 (f)(2)(8)).  Facilities that had either a
   temporary or informal exclusion were in one of  four
   categories on 11/8/86t  (1)  the final daliating waa granted
   and that wast* is no longer subject to regulation  under
   RCRA|  (2} the petition was denied when, after repeated
   requ*sta from the Agency, tha facility failed to provide
   additional information for tha petition) these  facilities
   had %•> bo in compliance with Part 265 regulationa  immediately;
   (3) the) completed petition waa denied baaed on  the merits
   of the petition  (i.e,, the waste was determined to b«
   hasardous)} these facilities had six months from tha date
   of publication of the denial in the Federal Register to
   come into compliance with Part 265 standards} or  (4) tha
   exclusion expired by statute} these facilities' petitions
   moved  back into  the standard dalisting process  and the
   facilities ware  again aubjact to all applicable RCRA
   requirements.

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     If you have aey questions regesdiag the  itetafeiee of
this policy, please call Steve Heeze fit
ccs  Elaine Stanley
     Bcuce w«ddl«
     RCRA T-.L   .    ^ Branch Chief a,
         R«9ions I « X
NBrownc:cmc:WH-527:6/19/87t475-9326
Nancy 1: File 1

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              UMHEM^TES ENVIRONMENTAL PROTECTS          9504.1987(02)
                         JUN-5 1967
MEMORANDUM
SUBJECTt  OSHA Hazardous Waste Site Activity

PROM*     Art Glazer, Chief
          Incinerator/Storage PAT Section

TO:       Hazardous Waste Branch Chiefs, Regions I-X

     During the March Permit Writers Conference Call, I polled
the Regions to determine if you anticipated needing large-scale
assistance from the Occupational Safety and Health Administration
(OSHA) to address issues relating to worker health at RCRA
facilities.  The potential need for OSHA assistance had come
up during earlier discussions with the Regions when we were
identifying candidate facilities for health assessments by AT SDR
under Section 3019 of RCRA.

     As it turns out, the polled Regions generally did not foresee
the need for large-scale OSHA assistance in addressing worker
health issues at this tine since there had been only a few isolated
cases where worker health issues had surfaced.  However, several
Regions indicated it may be helpful to have access to information
OSHA has prepared on TSDs they have inspected in order to assist
the permit writers in evaluating worker safety/contingency plans
or other aspects of the Part B.  My staff talked with OSHA'a staff
and they can provide us with information on OSEA's compliance
aonitoring history at RCRA facilities.

     OSHA has been inspecting RCRA facilities and has developed a
data system.  QSHA's data system divides the RCRA universe into
two cetegoxies)!  generators  (including on-site facilities) and
off-site Tttto.  Attached is a list of OSHA Regional Administrators
responsible cor monitoring RCRA/CERGLA facilities and an example
of how OSHA fsiicord* inspections in it's data system.  This infor-
mation was furnished by staff at OSHA's Health Response Team
(HRT) which is located in Salt Lake City.

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                              - 2 -
     £PA and OSHA have worked together in the past  at  several
RCRA facilities (e.g., i-'PA inspectors have referred  facilities
to CSHA's inspectors when there was concern for worker safety).
Although EPA dots not hav^ a signed agreement with  OSHA to  do
joint inspections at RCRA facilities, or for that matter, to
make reicrrals.  OSHA's HRT provided us with a print-out from
their data .system of past OSHA activities at RCRA commercial
facilities; about 75 inspections  (some repeats) have been recorded
over the last several years.  The print-out is not  in  a format
that lends itself to easy reproduction, so I an attaching several
pages as an •sample.  OSHA's information on RCRA facilities
appears to fee unel'ul in writing permits and performing inspections.
You arc encouraged to contact th« appropriate OSHA  Regional
Administrator (note. OSHA's Regions are the sasw as  LPA's Regions)
to discuss inspection philosophies or to obtain a compliance
revert on a particular racj-lity.

     On<  or OohA's LfcT objectives is to prepare a "Compliance
Directive and Targeting Notice" (CCTN) which will list facilities
targeted Icr inflection.  OSHA agreed to send us a  copy when it  is
completed and in turn I'll provide each of the you with a copy*
You can else contact HRT's Cindy Coe at FTS 583-5896 or OSHA's
HU-RCKA representative Chap Pierce at FTS 523-7216  to  discuss
this infcmation system or their general operating procedures.

     I hot*? thi« information aids you in the working with OSHA.
If you hav.- any questions regarding OSHA's standards,  policy, or
guidance froir the EFA standpoint, please contact Chet  Oszwan at
FTL 362-449v-

Attachments

cc.  Bruce wedd.lt, OSW
     Suzanne RudcinsKi, OSW
     Cindy co«, CSHA
     Chap Pierce,  OShA
     Chet Oezroan,  CSV*

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              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                         WASHINGTON, D.C. 20460
                                                     9504.1991(01)
                      »)«..

                       ?0/   7 199!
                                                       OFPiCE OF
                                              SOLID WASTE AND EMERGENCY RESPONSE
MEMORANDUM
SUBJECT:  Concurrence on 7003  Order for Shell Pipe Line Corporation
          of Niobrara  County, Wyoming
   FROM:  Bruce Diamond,  Director
          Office of Waste Program5-cfcrfr:orcement

     TO:  Robert Duprey,  Director
          Hazardous Waste Management  Division,  Region VIII


     In the matter of Shell Pipe Line  Corporation, I concur on your
use of Section 7003 to compel the rcompany to clean-up the spilled
oil.

     The use of Section 7003 to compel clean-up of an oil spill is
a proper use of the RCRA statute.  Spilling meets the definition of
disposal and spilled material generally qualifies as a solid waste.
For this  reason,  the spill  is potentially subject to RCRA §7003
authority (40 CFR  260.10  and 40 CFR 261.2),  regardless of whether
or not  it may meet the definition of a  characteristic  hazardous
waste, e.g.  TC for benzene.

     The  New  York State  Petition  addresses  the  question  of  how
benzene  contaminated  petroleum  waste  must  be   managed  during
remediation.   If the  petition  is  approved by the Agency,  it will
only affect the final management  and disposal of such waste,  not
the Agency's  ability to  use Section  7003  to obtain clean-up  in
cases of imminent and substantial  endangerment.

     In the future, you might also consider using  the authority of
the Oil Pollution  Act (OPA)  to compel clean-up.  This Act,  which
amends the Clean Water Act may soon be available for Regions to use
in enforcement actions requiring  clean-up  of oil spills.   Among
other things,  the OPA allows  an   enforcement  action to  be  taken
against a facility that discharges  oil or hazardous substances into
or  upon  navigable   waters  of   the  United   States,   adjoining
shorelines,  into or upon the waters of the contiguous zone, or that
may affect  natural resources  belonging  to,  appertaining  to,  or
under the exclusive  management  authority of  the  United  States
[Federal Water Pollution Control Act §311  (c)].  This authority may
apply to spills like the Shell Pipe Line incident.  In the FINDINGS
                                                         Printed on Recyc/ed Paper

-------
OF  FACT  (Section IV) of  the proposed §7003  Order for the Shell
spill,  paragraph E  states  that  portions of  land on  which  are
located  "navigable  waters"  were saturated  by the  spilled oil.
Presumably, the oil went into or upon the navigable waters or onto
adjoining shorelines.  Also,  Shell Pipe Line  Corporation meets the
definition  of  a facility  as  described  in the  OPA  §1001  (9)
"facility" and is liable for  removal costs and damages  as described
in  §1002  (a)  of the same Act.  The  advantage  of  the OPA is that
should a facility fail to comply with an   administrative order for
removal, the facility may be subject to a penalty  up  to three (3)
times  the  cost  incurred  by  the  Oil Spill  Liability Trust Fund
[Federal Water Pollution Control Act §311  (b)(7)(B)(ii)].

     Previously, EPA could not  order a company to clean-up under
the Clean Water  Act  §311.  Only the President had that authority
[Federal Water Pollution Control Act  §311  (c)  and (e)]. On October
18, 1991 the President delegated his authority to the Administrator
of  EPA  and the  Secretary  of  Transportation.    The  Agency  is
presently working  on delegating  this authority  to  the Regional
Administrators.

     If you have any further  guestions regarding the Oil Pollution
Act, please contact Cecilia  Smith of my office at  FTS 260-9811.


cc:  Matt Hale
     Stephen Heare

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9505 - PUBLIC
PARTICIPATION IN
PERMITTING
ACTIVITIES
                  ATKl/l 104/8 kp

-------
                   UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                              September 1C,  196*
     MEMORANDUM
     SUBJTCTi  Pieltf Assessment  antf  Public Involvement Plan
               for the Occidental  Incinerator

     PP.Ofi:     Vanessa K.usarave, HQ

     TOt       Drew Lehimn and Larry Ennist,  Region II


          It occurred to na that them ars several point* you ;a<*y
     want to ccrnrunicate to F.PA  Regional  and  State staff  who have
     not been involved with th«  planning  for  the Occidental incinerator
     facility's public involv*msnt plan to date.  In particular,  you
     need to be sure that these  staff clearly understrata  the purpose
     and likely outcona of the field assessnsnt  and public involverwnt
     plan,  otherwise, I think,  they may  have unrealistic *xpcct«tions
     about how much the plan can accomplish and  4\at is involved  in  its
     preparation.  Specifically, they should  undsrstam! thati

          o  The purpose of the  field assessment is to research
             ccn.nunlty concerns, not to provide  net information
             to the ccnmunity.   Vie will mostly be listening in
             our interviews with citizens and officials in the
             Niagara Falls area.

          o  Th<* findings fron this  researach effort vill be useJ
             to nrepare the public iovolverasnt
             The public involvement  plan is only the first step
             in <£!*• overall public involvensnt program tor the
             permitting process  for  the Occidental facility.
             Tn« plan will describe  the findings of the field
             assoasBent and describe activities to be undertaken
             by th« State and Region during ths) permitting process
             to provide; information  to the public and provide
             opportunities for public input.

             The plan will be consistent with the facility Kan»j*bi«*nt
             plan.  In addition, the plan will include public partici-
             pation activities ruquirert under State and Federal law
SYMBOL
         . .     _. ,  ,   .       ^COHCUauMfiOj .   .-^J-  ~.*  ^w« _ ^  .<. • . i i
 i       n*f'tT  r*Tj.VJ.Tl^T TC  *f^ ^Y*ar^~r^'  ttmmnm  nr  *na 1VT •frtr ^ *  *
W       affcocted public near[ the Occidental..*Jcility._ I

-------
                               -2-
     c  One important reason tcr developing thia tal3n is t^
        a nodal for public involvement plan* to oe developed b/
        other Regions or States.  In particular, because i&any
        facilities involve both RCRA and CERCL& activities, this
        plan can begin to address the coordination of these
        activities.

     It is important that all staff involved with tne Occidental
incinerator understand the limits on the amount a public involve-
ment plan can accomplish before the field assessment is con-Jucteu.
A plan can help coordinate public involve rant activities and
prevent unnecessary friction with the community caused by hap-
hazard or insufficient ef Sorts.  However, no one should exjyect
thft plan to identify activities that will resolvt all the oublic'*
concerns and prevent any local opposition to Federal or State
government actio-is.

     If you have any questions or want to Discuss these topics
further, please give rae a call at 202/332-4751.

cct  Suaan Katz
     Taul Counterran
     Jin Dolan

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               UNITED STATES ENVIRONMENTAL PROTECTION AGENCY



                                                          9505.1987(01)
  AUG  1 3 .='wT
SUBJECT!  Negotiated Penr.its

PROM i     Marcl a Williams, Director     2 ° ^^' -- '
          Office of Solid Waste  (WR-562)

TOt       Regional Division Director a
          Regions I-X

     As we move toward the 1988  and 1989  permitting deadlines
an
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                            - 2 -
     Please let ne Know if you have any facilities in your
Region that you believe are appropriate fcr negotiation,
an-3 if you are interested in financial support frau OS..' for
a i?ilot project.  If you have any questions on tnis issue,
please contact FranX "cAlister of the Permits Branch (3C2-2223)

cci  Regional Cranch Chiefs, Regions I-X
     Bruce WecMle
     Matt Hale
     Frank HcAlister

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      \      UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
       *  •               WASHINGTON, D.C. 20460
                                  18*                     9505.1994(01)

                                                           OFFICE OF
                                                      SOLID WASTE AND EMERGENCY
                                                         .  RESPONSE

 MEMORANDUM

 SUBJECT:  Application of Enhanced Public Participation and
           Stronger Combustion Permitting Requiremei

 FROM:     Elliott Laws, Assistant Administrate,

 TO:       Regional Administrators, I  -  X   '«

      The Agency is proposing the "RCRA  Expanded Public
 Participation and Revisions to Combustion Permitting"  rule.
 This proposal represents a major step in our  efforts to enhance
 public involvement in the RCRA process,  one of the key elements
 of the Draft Strategy on Hazardous Waste Minimization and
 Combustion,  announced by Administrator  Browner last  May.

      The principal goals of the  proposed rule are:

      »•    to provide more opportunities  for public involvement in
           the RCRA permitting process,  both early  on and
           throughout the decision-making process;  and

      >    to provide improved interim status  combustion
           permitting procedures.

      In the  spirit of the Administrator's desire to  increase
public involvement,  I strongly encourage all  EPA Regions  to  start
meeting the  goals of the proposed rule as soon as  possible.
Where EPA is the permitting authority, the Regions should begin
implementing those portions of the proposed rule that are to be
implemented  by the permitting authority.   Among such provisions
are proposals to:  issue a notice upon receipt  of a permit
application  (proposed Section 124.32); conduct permitting
activities in such a manner as to assure the  opportunity  for
meaningful participation by all  segments of the public,  including
non-English  speakers (proposed Section 124.30);  and  issue public
notices  announcing the scheduled commencement  and  completion
dates  of  facility trial burns (proposed  Section 270.62).  I
believe  the  Agency has discretionary  authority to  implement  these
provisions on a case-by-case basis before the  Agency promulgates
the final rule.
                                                     Recycled/Recyclable
                                                     Printed with Soy/Canola Ink on paper thai
                                                     contains at least 50% recycled fiber

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      Where the State is the permitting authority, I would like
 the Regions to encourage the States to implement these provisions
 as well.  Many State programs have such provisions already.

      Where requirements proposed in the rule would fall on RCRA
 permit applicants EPA cannot require applicants to comply.
 However, I urge the Regions to encourage these applicants to meet
 the enhanced proposed requirements where feasible.   Among these
 are proposed requirements to require RCRA permit applicants to
 hold pre-application meetings (proposed Section 124.31);  the
 provision providing for an information repository in certain
 instances (proposed Section 124.33); and the requirement that
 interim status facilities submit proposed trial burn plans for
 approval with Part B of their RCRA permit applications (proposed
 Sections 270.19 and 270.74 (c)).

      I am issuing this guidance in light of  the rulemaking
 procedures that we must follow.   I anticipate a 60-day comment
 period following the proposal,  and then several more months to
 respond to the comments.   It/ therefore/ may be six to twelve
 months before the rule in promulgated as a final rule.   In the
 interim,  unless the Regions and States expeditiously begin to
 implement the goals of the proposal,  the public will not  have the
 expanded opportunities that the rule would afford.

      As you know,  the interim status universe of BIFs and
 incinerators is the Agency's top  priority in RCRA permitting.  We
 believe that providing meaningful public involvement in the RCRA
 permitting process  and strengthening the combustion permitting
 process for interim status  facilities is consistent with  the
 Administrator's objectives  and  fortifies the RCRA permitting
 process.

      The  proposal should  be  published in the Federal Register in
 the coming weeks.   Copies will  be sent directly to  all  Regions
 and States to  facilitate  speedy  implementation  of the goals set
 forth.

      I  appreciate your cooperation  in promoting early and
 effective  public involvement  for  all  RCRA facilities and  a
 stronger permitting process  for interim  status  combustion
 facilities.  I urge you to consult  with  your respective Offices
 of Regional Counsel on the application of  these goals in
 individual cases.  If you need any  additional information about
this proposed rule, please contact  Victoria  van Roden of  my staff
at (703) 308-8623.

cc:  Michael Shapiro
     Matt Straus
     Devereaux Barnes
     Fred Chanania
     Patricia Buzzell

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Larry Starfield, OGC
RCRA Branch Chiefs, Regions I r X
RCRA Section Chiefs, Regions I- X
RCRA Public Involvement Network
RCRA ORC Branch Chiefs, Regions I-X

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This Page Intentionally Left Blank

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         3         UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                                 WASHINGTON. D.C. 20460
                                              ,.-•.-

                                       DEC  20 1995
                                                                       OFFICE OF
                                                            SOLID WASTE AND EMERGENCY RESPONSE
                                                                    9505.1995(01)
MEMORANDUM

SUBJECT:  Implementation of the RCj(lA Expanded Public Participation Rule

FROM: -  . Elliott P.
             Assistant

TO:         Regional Administrators
             Regions I - X        .

       The Agency recently took a major step forward in its effort to promote public
involvement and environmental justice by promulgating the "RCRA Expanded Public
Participation Rule" (60 £R 63417-34, December 11,1995).

       The final rule improves the RCRA permitting process by: (L) providing earlier
opportunities for public involvement in the process and (2) expanding public access to
information throughout the permitting process and the operational lives of facilities. The rule's
requirements include: a facility-led pre-application meeting; agency notice at application
submittal; agency notice of impending trial burns; and a provision for information repositories.

Immediate Implementation

       While the effective date of the rule will not arrive until six months after promulgation, I
am recommending that all EPA Regions start meeting the goals of the final rule as soon as
possible. The Regions, in turn, should encourage the States and individual RCRA facilities to
meet these goals even as States are pursuing authorization for components (e.g., this rule, BIF
permitting, and corrective action) of the RCRA program;

       Early implementation of the final rule will allow the public to benefit immediately from.
the rule's new.and important procedures.  This early implementation will be useful for the entire
program and help the Agency fulfill its commitment to meaningful public involvement in RCRA
permitting.
                                                                            Printed on Recycled Paper

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        I would like to express my appreciation to the Regions for working to achieve these goals
 since the Agency proposed the rule in June 1994.- We are encouraged by the positive reception
 these new standards have received, and look forward to full implementation.

 Guidance on Equitable and Flexible Public Participation          .          ^

        The development of the final rule involved a balance between broader, more equitable ..
 public participation and flexibility for individual permit writers, facilities, and communities to
 adopt the most appropriate, site-specific approaches. Some of the principles underlying the final
. rule would have been difficult to prescribe through regulation.  We decided that, instead of trying
 to achieve these goals through regulatory language, the public interest would be served best by
 encouraging permitting agencies and permit applicants to adopt these principles through
 guidance.      .-       ''•"'.      ••.   •     -       '••''.•';.        .      '       •'_•';

        Consistent with this approach, you should abide by the following principles in your '.
 permitting efforts:           -          -

 •      Using all reasonable means to ensure that all segments of the population have an equal
        opportunity to participate in the permitting process and have equal access to information
        in the process.  These means may include, but are not limited to, multilingual notices and
        fact sheets,;as well as translators, in areas where the affected community contains
        significant numbers of people who do hot speak English as a first language;

 •      Addressing environmental justice concerns, in part, by expanding access to information
      .  (particularly in a multilingual format) and opportunities  for public input (through tools
        such as information repositories); and

 •      Going beyond the regulatory requirements, where appropriate, to provide for a level of   .
        public involvement that is commensurate with public interest in the permitting issue.

. I also encourage State permitting agencies and permit applicants to adopt these principles in their
 dealings with the RCRA program. These policies will improve  the RCRA permitting program
 and promote the Agency's commitments hi the area of equitable public participation.

        We are providing further guidance for implementing the final rule and this policy
 directive in our update of the 1993 RCRA Public Involvement Manual (EPA530-R-93-006,
 September 1993).  We anticipate issuing the new guidance document in Spring 1996. The.
 revised manual will provide guidance to regulated facilities and  affected communities, as well as
 permitting agencies.           .
                                          . 2

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:i ?•''•:.    If you need any additional information about the rule, the policies in this memorandum,
or the upcoming guidance manual please contact Patricia Buzzell of my staff at (703) 308-8632.

cc::   ; Michael Shapiro
       Linda: Garczynski, OSPS
      .Matt Hale X • "• ;
       Frank McAlister    ,
       Patricia Buzzell   '•'-  -
       •Fred Chanania        . -
      :' Paul Bangser, OGC   .".!..
       Hazardous Waste Management Division Directors, Regions I - X  '
      ^Hazardous Waste Management Division Branch Chiefs, Regions I - X
       RCRA Public Involvement Network  ;•  ;'
       Lance Miller, Permits Improvement Team

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This Page Intentionally Left Blank

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9520 - PERMITTING
PROCEDURES
Part 270
                  ATKl/1104/4kp

-------
                                                   9520.1986(01)
                  RCRA/SUPERFUND HOTLINE MONTHLY  SUMMARY

                                  FEBRUARY  86
2.  The Qnnibus Provision and Permits

    An interim status landfill contains reactive hazardous waste (D003).   The land-
    fill is a regulated unit because it accepted hazardous waste after July 26,  1982.
    Since it is a regulated unit, the landfill is subject to 40 CFR 264 post-closure
    standards.  EPA enforces 40 CFR 264 post-closure standards by issuing a post-
    closure permit.  Prior to closure, the waste at tne facility will be treated
    until it no longer exhibits the characteristic of reactivity.   The permit writer
    is concerned that during the post-closure period, waste residues will be reduced
    anaerobicallyi to the point where the material would again exhibit the characters
    tic of reactivity.  The permit writer wants to require the owner of the site tc
    perform hydrogen sulfide gas monitoring and sulfide detection during the post-
    closure period to measure the rate of anaerobic reactions.   Can these monitoring
    requirements be included in the post-closure permit?

       Yes;  the Hazardous and Solid Waste Amendments of 1984 (HSWA)  significantly
       increased the authority of the EPA when writing permits by adding an "omnibus
       provision" to the Solid Waste Disposal Act ($3005(c)(3)).  This provision
       states that "[ejach permit issued under this section shall contain sucn terms
       and conditions as the Administrator (or the State) determines necessary to
       protect hujaan health and the environment."  The final codification rule
       published in the July IS, 1985 Federal Register (SO PR 28702) incorporated
       the statutory provision into 40 CFR 270.32(b)(2) of the regulations.  This
       provision gives permit writers the authority to impose permit standards in
       addition to applicable permit standards found in 40 CFR 264, as long as the
       permit writer can justify Che need for the additional standards in terms of
       protection of human health and the environment.  Additional standards can be
       justified by basing the standards on such.sources as documented studies,
       expert opinions, and published articles.

       Source:    Lillian Bagus  (202) 382-4691

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9521 - GENERAL
REQUIREMENTS
Part 124 Subpart A
                   ATKl/l 104/1 kp

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                                                         1984(01)
   .
a -n
:NJ
  ..J

  o
                                    2 - MAY  1384
       MEMORANDUM
        SUBJECT:   Inadequate  Part  B Permit  Application

        FROM:      John  H.  Skinner,  Director
                  Office  of  Solid  Haste  (WH-562)

                  Gene  A.  Lucero,  Director
                  Ufflce  of  Waste  Programs  Enforcement  (HH-527)

  _     TO:        James H.  Scarbrougn, Chief
  5               Residuals  Management Branch, Region  IV
             You  have  requested  guidance  on whether the use of Section
        3UO«  administrative  orders  is  appropriate to compel RCRA permit
        applicants  to  submit  "technically adequate" Information after an
        application  has  been  determined  "complete."

             A  determination  that  an application is complete is not
        necessarily  a  determination tnat  tne  application is free of
        deficiencies.   Uuring tne  detailed review of the application and
        tne drafting of  permit conditions, it may become necessary to
        clarity,  modify  or  supplement  previously submitted material
        oefore  progressing  to a  draft  permit  or a decision to deny.
o            The  regulations  specifically  provide  the Regions authority
T       tor gathering  information after an application has been determined
^       complete.   "After  the application  is  completed, the Regional
~2       Administrator  may  request additional  information from an applicant
^       but only  when  necessary  to clarify, modify,  or supplement previously
^       submitted  material."  40  CFR 124. 3(c).
•si
~            If  applicants do not supply the  requested Information, the
^       Regions  may compel them  to do so.   If  tne  information is not
^^     forthcoming, the  Regions may deny  the  perait.  "If an applicant
..^     fails  or  refuses  to correct deficiencies  in  tne application, the
a  .     permit may be  denied  and appropriate  enforcement actions may be
"^     taken  under tne  applicable statutory  provision including RCKA
«=>     Section  3UU8..."  41) CFR  124. 3(d).
4-»  •
ij°          You  are correct  in  concluding that  tne  enforcement guidance
-3       dated  September  9, 1983, speaks only  to  "late or incomplete"

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                               -2-


app 11 cations.  That guidance w«s  Intended to apply to tht period
Dtfore tht application 1s  determined  complete.  After tht finding
tnat the application 1s complete, suppleoenta1 Information way
bt needed.  Tou ruve several options  for obtaining this additional
Information.

     If you otHete written or vtrtoal  atttmpts to ««t additional  .
Inforaatlon *111  not »• successful, /ou  •*/: Issue a warning
Utttr (Itadlnj to a Section 3U08 adalnl strati \rt order), 90
dlrtctljr to a Section 3008 order, or  Issue • notice of Intent to
deft/ tut eeralt.   The specific Mechanise) used 1s an are* of
discretion and requires case bjr case  judgaents by Regional offices.
Tie Regions should select  the ad«1«1strat1»e or enforcement
•echinlsais that *111 most  efflcleatl/ expedite tht dettlopaent
of Information necessary for RCRA permit decisions.  The) office of
Waste Programs Enforcement Is currently  working on galdance which
Hill assist yoo In selecting among  enforcement responses.  This
guidance should be available mldsemmer.

cci  Branch Chiefs, Regions I-III,  V-l
     Regional Directors, Regions  1-1

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                                              9521.1984(02)
                              MAY  7 1984                              !T J,
                                                                       9t
                                                                     > U>
                                                                     I  I
                                                                     (- B>
                                                                     -» 71
                                                                     cn •
                                                                     ~- >
Dr. Robert Bornstein, Commissioner                                   %%
Texas Department of Health                                           M J
1100 N*«t 4»th Street                                                -^
Austin, Texan  78756                                                   o
                                                                       i
                                                                       »
Mar Dr. Bernsteint
                                                                     HH A
                                                                     3 \
     Thank you for your  letter  of April  4  expressing your            « £ •>
concern about EPA'a requirement that  authorised  states  hold          *« i
a public hearing after Issuance of  a  draft hazardous waste           *"*.*.
permit.  I understand that  the  Texas  Department  of  Health is         * » o
committed to an effective public participation program  in              ' *
permit issuancef and I appreciate your concern about the               m -j
regulatory agency appearing to  have made up its  mind at the            *
time of the permit hearing.

     Section 7004(b) of  KCKA  requires BPA  and authorised
States to publish notice of the Agency*s intention  to issue
a permit and*..to hold a hearing  if written  notice of opposition
is received.  BPA and authorised States  are thus required by
RCRA to publicly notice  their intention  to issue a  permit
prior to holding a hearing.   The statute requires this  approach
in order to allow the public  opportunity to review  and  provide
comments on the specific conditions which  the Agency intends
to apply in the draft permit.

     Nothing in RCRA or  the CPA regulations precludes a State
from holding a public hearing or meeting prior to issuance of
the draft permit, as long as  an additional opportunity  for a
hearing Is provided following issuance of  the draft perr.lt.
We do, in fact* recognize the value and  importance  of early
public involvesMtnt in the permit process,   in our draft National
permits Strategy we Include Regional  office preparation of
facility-specific public participation plans and suggest that
a public meeting be held prior  to  issuance of the draft permit,
in addition to the hearing  which is subsequently held.

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            to CCMBMAd  tha ft»t* Of T«X«« for lt« eoaaUtaant  tO
        a aound basardoua  wast* Mnagastant prograau  Yaxaa has
bean in th« fora£ront in p«ra«lt of intarlai and final author-
illation.  Plaaaa  lat aa know if I aay ba of fvrthar aaaiatanca.

                                •inoaraly


                                /a/ JAOJL 1^ MoOrtt»r'l

                                Laa H. Thomas  ^
                           Aaaiatant Adxiniatrator

eei Dick «kittin«toaf P.I., lagion vx
    Charloc I. ffanir, Taxaa Oapartawnt of Watar Kaaoareaa

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                                            9521.1984(03)
                              9 JUL 1984
Subjecti    Reporting withdrawals as Final Ptnnit Determinations

Promt       John H. Skinner, Director/
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                               -2-

Protective P-ilers -


     In no cane should the withdrawal of a protective filer be
r^'virted •• • final oerMt determination.  A withdrawal is con-
sidered a final determination only if the facility qualified
for interim status, requetted withdrawal (e.g., went out of
buiineac, changed "waste streams, s»ve<1 to under "D-day storage),
an inspection wa» conducted of the facility* /and a closure plan
was approved after public notice.


Less Than 90-day fltorers


     Regarding lens than 90-day storers, •one regions bare asked
whether closure plans should be required and, if so, when such
plans should be inpleaented.  We are also developing guidance In
this area i In the interim, you should report reversions to less than
90-day storage as final determinations in SPM3 only if the procedures
outlined in this u«*o are followed (i.e., inspection, public notice,
closure olan aonroval, etc.).  Depending on our future guidance
on facilities which have beecoe less then 90-day storers, we Bay
track activities related to actual closure of these facilities
outside the SPNS iiystea entiraly.
    facilities T*«t
     Applications withdrawn for new facilities will not be counted
as final determinations in SPMS since there is no closure process
fo*1 t**»A facilities.  t»ov«»v*r, you should indicate these withdrawals
in »>* n»m»e raT-milt action record because we do want a record of
thos* action* to ins let us in evaluating reolonnl workload.  (If FPA,
or an authorised ntate, drafted a permit (or a notice of intent to
deny a pen-It) prior to the applicant's request for withdrawal, the
draft permit Is counted in 8P«S towards the region* s commitment for
draft permits) .

RVDMS Data Elements


     We recognise that you stay need to channe your procedures for
reporting final determinations in RWDHS to accoanodate this guidance.
The OSW Infonution Management Task Porce reviewed a draft of thin
guidance during their meeting of June 19 and 20 and made reconnenda-
tions for chancing the renortinn procedures to nininlze the burden
in the regions.  The primary changes involve redefining some of the
codes under the C11P5 cowr»n*nt (facility status information).  Ve
will be sending a wemorandun to you shortly recuestirp? your commentn
on the Ta«v forces' reco»«»endatlonii.  Hntll the final reoortlna
procedures for F».T5«S are developed, we will continue to verity the
number of withdrawal final cV terminations over the phone with vcur
staff before we forward this information for use in SPHS.

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     If you have any questions or comments please contact
Peter Guerroro on 8-382-4740 or Doug Ruby on 8-382-4499.

Attachment                  "•••'-..

cct  Haxardoue Waste Branch Chiefs, Regions I-X
     RWDHS RPOs, Regions I-X
     Peter Guerrero
     Steve Lew

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           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY    9521.1985(0
                       WASHINGTON, O.C. 20460
                                                            OF
                            •rQ O C             SOLID WASTE AND EMERGENCY RESPONSE
                            *Ci  £ O
MEMORANDUM

SUBJECT:  Applicability of Post-Closure Permitting
          Requirements to Non-Regulated Units

FROM:     Marcia E. Williams, Director
          Office of Solid Waste

TO:       Charles E. Finley, Director
          Hazardous Waste Division, Region X


     In your memorandum of May 20  (attached) and in phone
conversations with Jeff Webb of your staff, you requested
clarification on several points regarding closure for disposal
facilities that stopped receiving  waste prior to July 26, 1982.
Outlined below is a discussion of  those points.

     We agree with your interpretation that land disposal units
that stopped receiving wastes prior to July 26, 1982 and closed
after January 26, 1983 are subject to the post-closure permit
requirements of §270.l(c), but not ground-water monitoring
requirements of Part 264 Subpart F.  We do not agree with your
conclusion, however, that such a permit could require compliance
with Part 265 ground-water monitoring requirements.  Part 265 is
applicable only to interim statue  units and cannot be incorporated
into a permit.

     If the unit deecribed above is the only unit at the facility
subject to permitting, ieeuance of a poet-closure permit would
have little benefit eince ground-water monitoring requirements
cannot be applied.  The unit/facility in this caee should be
closed under interim statue, and thue subject to the general
closure performance etandarde of Part 265 and poet-closure ground-
water monitoring ($265.117), ae applicable.  If the unit hae
caused ground-water contamination, enforcement action to compel
corrective action under $3008(h) should be initiated.  Alternatively,
if the unit ie located at a  facility which hae another unit(e)
requiring a permit, the 3004(u) corrective action authority would
apply when the permit ie ieeued since the unit ie a "solid waste
management unit."

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                              -2-
     If you 'have any further questions regarding  this  issue, please
contact Dave Fagan, Acting Manager,  Permits  Policy  Program  at
   ~
Attachment

cc:  RCRA Branch Chiefs
    Permit Section Chiefs

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              UNITED STATES ENVIRONMENTAL KKU I cl DON AGcuCY,


                                                       9521.1986(02)



                            MAR24886
Mr. C. Edward Ashby,  Jr.
Envirosafe Services,  Inc.
115 Gibraltar Road
Horsham, PA  19044

Dear Mr. Ashby:

     I am writing in  response to your letter of February 25, 1986,
to the Administrator,  in which you offered several observations
and raised specific concerns regarding the RCRA permitting process.
I appreciate your having taken the time to communicate these
concerns, based on your company's particular experiences with
permitting of your hazardous waste facilities.

     I agree with your general assertion that the RCRA permit
process is time consuming and resource intensive, and that there
may be regulatory and  other changes which can be made to enhance
the efficiency of the  permit process, without sacrificing environ-
mental protection.  In recognition of this, the Office of Solid
Waste recently established a task force to comprehensively examine
the problems of the RCRA permit program as it currently functions,
and to recommend changes to improve the process.  The results of
this tasK force effort should be available in the next several
we ek s.

     Your basic observation regarding the fundamental differences
between the RCRA permit process and other EPA permit programs is
also well taken-  It  is true that RCRA permits are quite compre-
hensive in nature, in  contrast to other types of environmental
permits, such a« NPOES permits.  However, the RCRA permit does not
cover a discrete discharge from a well defined source, but rather
must address in a comprehensive way a number of design and oper-
ational aspects of a  facility relevant to the management of hazardous
wastes.  This in a reflection of the complex nature of hazardous
waste management facilities, and the various means by which hazardous
wastes, if mismanaged, can cause environmental damage*  The objective
under RCRA is not to  control pollutant levels at a specific emission
source/ buT rather to  minimize potential threats to human health
and the environment from a variety of potential sources.  This
requires a more comprehensive approach to permitting than is the
case with most other  environmental permit programs.

     In regard to your specific concerns over the need to fully
characterize proposed  new units in a Part B application, ajid to
          j*  ^"H—"   i-»- .**»»— *»«...- «^/unn— •
                                                --

-------
 in  this re<^rd.  The owner/ooerator has the option of permitting
 oroposed naw units as part of the Part B application, or
 after the permit has been issued through a major modification
 to  the permit.  In either case, however, sufficient  information
 must he submitted to enable the Agency to determine  whether or
 not the unit complies with all applicable standards.  Similarly,
 the contingency olan for a facility must adequately  address
 notential hazards from all permitted units at the  facility.  If
 a new unit is added during the term of the permit  which raterially
 increases the potential for hazards, or changes the  response
 necessary in an emergency, the contingency plan must also  be
 amended.

     Your letter also specifically expressed your  concern
 regarding the current regulations for permit modifications,
 contained in Subpart D of 40 CFR Part 270.  The Agency recog-
 nizes that the regulations as currently structured do impose
 a substantial administrative burden on both EPA and  facility
 owner/ooerators.  It is our hope that a regulatory negotiation
 effort which is now being organized will develco a more
workable approach to modifying RCRA permits.  The  regulatory
 neaotiation group for this effort has not been selected.   I
 appreciate your offer to participate in this important effort;
 it will certainly be considered.

     I appreciate the opportunity to respond to your concerns
with the RCRA permit program.  Please let me know  if I can be
of any further assistance.

                               Sincerely,

                               /B/ Jafi* i««. AiiiU'a*

                               J. Winston Porter
                               Assistant Administrator

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April 8, 1986                                       9521.1986(03)


Honorable William M. Thomas
House of Representatives
Washington, D.C.  20515

Dear Mr. Thomas:

     Thank you for your letter of February 4 in which you raised
questions concerning the permitting process in the State of
California.  Specifically, you inquired about the processes which
govern the award of permits for new hazardous waste land disposal
facilities and the use of local government permits to prevent
out-of-county wastes from being accepted for disposal.

     States can be authorized under the Resource Conservation and
Recovery Act (RCRA) to operate their State hazardous waste
programs in lieu of the Federal program.  In States that are not
authorized, hazardous waste disposal facilities are subject to
Federal requirements if the wastes they handle meet the Federal
definition of hazardous waste in 40 CFR Part 261.  In those
States, EPA is responsible for reviewing and processing permit
applications in accordance with Federal regulations.  In
addition, disposal facilities in unauthorized States must meet
any State requirement.

     Generally, counties and municipalities may also separately
regulate or issue permits for hazardous waste facilities.  Under
RCRA, political subdivisions of States are expressly authorized
to impose requirements, including those for site selection, which
are more stringent than those imposed by EPA regulations.
However, they may not impose less stringent requirements.  State
law may also restrict the ability of localities to regulate
hazardous waste facilities and the intrastate transportation of
wastes.  Questions concerning State law should be directed to the
State of California.

     In your second question you solicited EPA's views on a
possible prohibition by Kern County, California on the
importation of hazardous wastes generated outside the county.
RCRA provides that States and localities may impose more
stringent requirements on hazardous waste facilities than those
imposed by EPA regulations.  However, not all more stringent
State or local requirements are valid.  Courts have found that
certain more stringent requirements which significantly affect
out-of-state persons and threaten important Federal interests are
inappropriate for State or local resolution.  For example, under
the Clean Air Act and Clean Water Act, courts have held that
State laws which control pollution which moves interstate can
significantly affect persons in other States.  In some cases,
these restrictions have been held to be precluded by Federal
statute under the Supremacy Clause of the United States
        This  document  has  been retyped from the original.

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                               -2-

Constitution.  In addition,  courts have held that State waste
import bans violate the commerce clause of the Constitution and,
therefore, are illegal.  Local requirements on transporters that
unreasonably burden or discriminate against waste generated in
other localities have been declared invalid for the same reason.
Also, where it is physically impossible to comply with both
Federal and State or local rules,  the courts have held that
Federal rules prevail.

     In addition, local regulation of hazardous materials
transportation may be preempted by the Hazardous Materials
Transportation Act administered by the U.S. Department of
Transportation (DOT).  The Act provides a procedure whereby
States and localities may seek an advisory opinion on whether a
requirement is preempted.  Your constituents may wish to contact
DOT for further information.

     EPA opposes unreasonable restrictions on the free movement
of hazardous waste which are not related to legitimate health and
safety concerns.  The Agency is concerned that barriers will
prevent shipment of hazardous wastes to the most appropriate
facility for treatment or disposal.  Therefore, EPA discourages
the enactment of restrictions on the free movement of wastes, and
will not grant authorization to a State that bans the
transportation of wastes into or through the State.

     If I can be of further assistance, please do not hesitate to
contact me.

                                   Sincerely,
                                   Lee M.  Thomas
bcc: Deputy Administrator
     Assistant Administrator, OSWER
     General Counsel
     Enforcement and Compliance Monitoring
     Region IX
     Regional Operations
     External Affairs/Manson
     Congressional Liaison
        This document has been retyped from the original.

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 ^toir^                                                     9521.1986(04)
 J -^^- 'r
      i
      |   UNITED STATES ENVIRONMENTAL PROTECTION AGEN

V   '.(/                  WASHINGTON. D.C.  20460
                                               THE AOMINlSTPATQR

   Mr. Alfred B. Devereaux, Jr.
   Assistant Secretary
   State of Florida Department of
     Environmental Regulation                —_„ ^ ^^.^
   Twin Towers Office Building                £          ~;M
   2600 Blair Stone Road                     LTLlLiJ \^/^^ u
   Tallahassee, Florida  32301-8241

   Dear Mr. Devereaux:

        Thank you for your July 7, 1986, letter expressing
   concern about the Environmental Protection Agency's (EPA's)
   policy for expanding public involvement opportunities in the
   Resource Conservation and Recovery Act (RCRA) permitting
   program.

        EPA's public involvement program is designed to provide
   information and uncover citizen concerns while there is
   still opportunity to address them during the permit review
   process.  We encourage the States to integrate early public
   involvement activities into the permitting process to ensure
   responsive and effective permitting.

        RCRA and the Hazardous and Solid Waste Amendments mandate
   the Agency respond to citizens' concerns and provide a defined
   role for the public in the decisionmaking process.  The
   Guidance on Expanded Public Involvement in the RCRA Permitting
   Program allows great flexibility to Regions and States to
   provide such opportunity as appropriate in each community.
   This guidance is relevant to both new and existing facilities,
   whether it is for closure or operation.

        Tho guidance does not state that every RCRA facility
   must ha?* an expanded public involvement program, but rather
   that spueifie facilities be targeted for expanded public
   involv«Mntr and it provides criteria for targeting these
   facilittesj

        -  facilities that receive wastes from a Superfund site;

        -  facilities that are environmentally significant;

        -  facilities that are already controversial or have  the
           potential to become controversial;  and

        -  facilities for treatment and incineration, existing or
           proposed.

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     We believe that it is important for the States to apply
this guidance in administering their permit programs.   We
encourage the States to review the permit applications to
discover which are or may become controversial and develop an
expanded public involvement program for those permits.  If
you have any further questions concerning the implementation
of this program, please contact Vanessa Musgrave in the EPA
Permits and State Programs Division, Office of Solid Waste, at
(202) 382-4751.                                           '

                              Sincerely,
                              Lee M.  Thomas
 WH-562/MUSGRAVE/D.ZEITLIN/sld/7-23-86/Control No:  AX601099
                382-4651/Due Date:  7-28-86^

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                                                 9521.1986(4A)
               RCRA/SUPERFUND HOTLINE  MONTHLY SUMMARY

                                 APRIL 86
3.  Appeal/Recourse Process for Permit Denial

    An owner/operator (o/o) of an interim status facility is seeking  a  final
    RCRA permit.  If the o/o submits a complete permit application, but
    the state or region denies the permit, what procedural recourse or
    appeal process may the o/o follow?  It appears that Part 124 Subparts
    A and E both state procedures to follow for appealing a permit denial.

         If the o/o of an interim status facility submits all necessary
         information, then a final decision to grant or deny the permit
         can be made.  An o/o wanting to appeal a permit denial would
         follow the procedure in §124.19 of Part 124 Subpart A, which
         addresses recourse for permit denial.  This Subpart contains
         procedures for informal hearings.  Briefly, the o/o has a 30-day
         period in which he may reo^jest a review by serving a notice  to
         the Regional Administrator.

         On the other hand, Part 124 Subpart E outlines a more formal appeal
         process for permit or interim status terminations.  Thus, if the
         o/o of an interim status facility fails to submit adequate  infor-
         mation for a final permit application, then its interim status
         could be terminated, and the Agency would follow the appeal
         procedures in Subpart E.  Generally, the formal or "evidentiary"
         hearing of Subpart E is applicable to RCRA facilities only where
         there has been a termination of a permit based upon a RCRA violat i.-->n
         or the termination of interim status based upon a failure to submit-
         information necessary to make a final permit decision.


         Sources    Carrie Wehling  (202) 475-8067
         Research:  Margaret Kneller

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                                            9521.1986(5A)
           RCRA/SUPERFUND HOTLINE  MONTHLY SUMMARY

                              MAY  86
2. Interim Status and SQGs

   A small quantity generator (SQG)  has been treating hazardous waste on-site
   in compliance with 40 CFR 261.5(g)  since May 1980.  During the month of
   January 1986, the generator produced more than 1000 kgs.  of hazardous
   waste, exceeding the quantity limitation for SQGs.  Now,  the hazardous
   waste must be managed as large quantity generator waste according to 40-
   CFR Part 262.  The hazardous waste must be sent off-site or managed on-
   site at a facility which is RCRA permitted or in interim status.  Since
   the generator has been a SQG up to this point, the generator never
   obtained interim status for his SQG waste treatment facility.  Can the
   generator now obtain interim status in order to continue treating the
   waste on-site?

        According to Section 3005(e) of RCRA, any owner/operator (o/o)
        may obtain interim status  if the o/o meets  three requirements,
        and has not already been denied a permit.   The first requirement
        the o/o must meet  is to be in  existence on  November  19,  1980,
        or on the effective date of  regulatory  changes which first
        render  the facility subject  to the permit requirements.   The
        above mentioned generator  meets this requirement because the
        facility was treating hazardous waste on  November  19,  1980
        even though the o/o was not  subject to  substantive regulations.

        The second requirement the o/o must meet  is to conply with
        Section 3010 of SWDA.   Section 3010 required the o/o of  a
        treatment, storage, or disposal facility  to submit a
        notification of hazardous  waste activity  form within 90  days
        of the  date when the hazardous waste first  became  subject to
        regulation.  Because small quantity generators were  exempted
        under 40 CFR 261.5 from the  3010 notification requirement,
        this o/o need not  have submitted a 3010 notification in  order
        to obtain interim  status per 40 CFR 270.70.

        Finally, Section 3005(e) requires the o/o to submit  a permit
        application.   Where, as here,  the facility  becomes subject to
        RCRA permitting due to changes at the facility, not  regulatory
        action, 40 CFR 270.10 requires the o/o  to submit Part A  of
        the permit application within  30 days of  the date  the facility
        first becomes subject to 40 CFR Parts 265 or 266.

        Source:    Carrie  Wehling  (202)  475-8067
        Research:  Ingrid  Rosencrantz

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4.  Corrective Action in Permits
                                                                    9521.1986(6A)
    Section 3004(u) of RCRA requires owners and operators (o/o) of
    disposal facilities seeking a permit to conduct corrective action for
    all releases of hazardous waste or constituents frcm any solid waste
    management unit (SVWU) at the facility.  Are there any situations in
    which an interim status facility could avoid corrective action
    requirements under §3004(u)?

         Any facility that is not reouired to obtain a permit under
         Section 3005(c) of RCRA will not have to meet Section 3004(u).
         Interim status units that continue operating will generally have
         to obtain permits.

         - However, a permit would not be required for an interim status
           facility where all units containing hazardous wastes are
           tanks or containers, if it continued to operate after converting
           to generator status and met the accumulation standards in
           40 CFR 262.34.

         Permits will also be required for sane facilities that close
         under interim status.  Under 40 CFR 270.l(c), some surface
         impoundments, waste piles, land treatment units, and landfills
         ("land disposal units") must obtain post-closure permits.

         - No permit would be required for a closing interim status
           facility that has no land disposal units.   Units such as
           tanks, containers and incinerators do not require post-closure
           permits.

        - The current version of 40 CFR  270.l(c) requires post-closure
          permits  for all  facilities with  land disposal units  that
          close after January 26,  1983.  To  implement  new Section  3005(i)
          of RCRA, EPA  recently proposed to  change  this requirement  to
  «       require  post-closure  permits for all  land disposal units that
  w       received waste after  July 26,  1982 (see 51 FR 10706).  EPA is
  2       considering a further revision to  require post-closure permits
  ^       for facilities with land disposal  units that received waste
          after July 26,  1982 or closed  after January  26, 1983.
          Facilities that  would not be required  to have post-closure
          permits  under these criteria will  not  be subject  to  Section
          3004(u).

        Although Section  3004(u) would not apply to closing units  that
        fall in these three categories,  EPA  could use  authorities  under
        the closure regulations and Section  3007 of RCRA to investigate
        the facility for releases  from the closing hazardous waste
        units.  This investigation could also extend  to other  potential
        sources of contamination at the  facility, especially  if  information
        about additional sources were needed to determine whether  the
        closing hazardous  waste units were the  sources of any  contamination
        found.  This investigation could be  very similar to the RCRA
        Facility Assessment  (RFA)  required under Section 3004(u)  for
        permitted  units.   If  EPA found a release of hazardous  waste, or
        hazardous  constituents  from hazardous or solid waste,  it could
        order corrective action under the  interim status corrective
        action order authority  in  Section  3008(h).  Section 3008(h)
        orders may be issued  both  before and after  closure.

        Contact:   Tina Kaneen   (202) 382-7706
        Research:  Kevin Weiss/Charlotte Mconey

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                                                 9521.1987(01;


                             AUG -7  I98T
Subject)  Thertwx Energy/JUdlan'» request for guidance on
          the compliance dates for submitting a Part B pent It
          application, issuing or denying a 1CHA permit/ and
          complying with the minimum technological
          roquireaents for surface impoundments.

Tot       Hichael J. Sanderson* Chief
          RCRA Branch
          EPA Region VII

Prosit     Susanine Rudxineki, Chief
          Aflelstanee Branch
          EPA Headquarters
     On July 2, 198? and July 10, 19§7 Thermex Energy/Radian
requested guidance on the regulatory status (i.e., permitting
requirement!)) of Thermex's manufacturing and laboratory
facilities located in Hallovell, Eaasas from hoth the Eanaaa
Department of Health and Environment and EPA, respectively.
Specifically, Thermex/Radian has asked us to identify (1) the
minimum technology requirements (HTR) compliance date for
the three surface impoundments at the Vallovell manufacturing
facility; (2) the date Thermex must submit a Part B application
for the three surface impoundments and tank at the laboratory
in order to prevent the loss of interim status; (3) the date
that the Kansas Department of lealth and Environment must issue
a final permit or final permit denialj and* (4) the date closure
of th« three surface Impoundments must £tgin if a closure plan
is submitted by November t, 1987.

     Im respoawo to their first question* Section 3005(j)(l) of
the Resource) Cmnservation and Recovery Act (RCRA) requires  that
all surface impoundments either meet the minimu* technological
requirement* (IffR) of Section 3004(o)(l)(a) of RCRA by
November 8* 1999 or stop receiving haiardous wastes.
Section 300S(jHO of RCRA* however* specifies that any
surface Impoundment brought Into the hazardous waste management

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/   system, as a result of the promulgation of additional
    hazardous wasts listings or characteristics,  shall have
    four yaars froH ths dats of promulgation of a new hazardous
    vasts listint or characteristic to either meet ths MTR or
    stop receiving hazardous wastes.  Ths revocation of Therm ex'«
    temporary exclusion was  promulgated on July 17,  1986 (see
    51 PR 25887).  As a rssnlt of the revocation of Themes's
    temporary exclusion, Thermex's waste was brought back into
    the hasardous waste management systeai.  We agree with
    Thermex/Radian's interpretation of Section 30OS(j)(6) that
    revocation of a temporary exclusion has the sasie impact as
    bringing a wasts into ths system by a new listing.  As a
    result,  Thermex should have four years from the promulgation
    date of  the revocation of its temporary exclusion and
    final denial of its delisting petition to either comply
    with the MTR or to stop  receiving hazardous wastss.  Ths
    dats by  which Thsrmex must either comply with ths MTR or
    stop receiving hazardous wastss, therefore, is July 17,
    1990.
         Ths second question raised in Thermex/Radian's 1stter asks
    by what dats must Thermex submit a Part B permit application
    for the impoundments (at the manufacturing facility) and the
    tank (at the laboratory facility) to prevent the loss of
    interim status.  RCRA Section 3005(e)(3) does not apply to
    facilities having temporary exclusions.  As long as Thsrmex
    had originally filsd Part A applications for their three surfacs
    impoundments and for their tank and did not nodify their Part
    A applications to delete the units handling the temporarily
    excluded wastes, the facilitee have not lost interim status
    and no futher action is required-by the facilities.  We note
    that Part B permit applications for the three surface
    impoundments and the tank are not required until the State or
    Region calls in the permit applications* however the facilities
    are subject to interim status standards until ths permit is
    issued.

         Their third question asks by what date must the Kansas
    Department of Health and Environment (KDRZ) issue a final
    permit or final permit denial if Thermex submits a permit
    application for the Ballowell surface inpoundnents by
    Movember 8, 1M7.  As indicated above. Thermex is not
    required to submit a Part B permit application unless a
    Part B psamit application is called in by the State or
    Region.  Should Thermex, however, submit an application on
    November 8* 1967* KOBE is not required to prooses the Part
    B permit application for the Rallowell surface impoundments
    by November 8, 1988.

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     The me x/Radian's fourth question asks us to identify the
date implementation of closure of the three surface impoundments
must begin after submittal of a closure plan on November 8,  1987.
Again, as stated in response number two, Thermex does not have to
submit a closure plan or implement closure.  If Thannex voluntarily
submitted a closure plan or stopped receiving hazardous waste,
they would, under federal regulations,  be required to initiate
Part 265 closure within either 90 days after the surface
impoundmenta stop receiving wastes or the closure plan is approved
by the State Director or Regional Administrator, which ever  is
later,  demure would then have to be completed within 180 days
(see 40 CFR Part 265.113).  We note that the State Director  or
Regional Administrator may extend the time period in which closure
must be implemented or completed if Thermex were to demonstrate
the requirements of 40 CFR Part 265.113(a) or (b), respectively.

     We are not planning on responding directly to Thermex on their
substantive issues, rather we are directing them back to the Kansas
DHE.  I truot you will be conveying our guidance on this issue to
the Kansas Bureau of Waste Management so that they can respond to
Thermex.

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                 UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                                                            9521.1988(02)
 APR I 9 i^
MEMORANDUM


SUBJECT:  Call-in of Storage and Treatment Applications

FROM:     SylviatLowrance, Director
          Office of Solid Waste

TO:       Waste Management Division Directors
          Regions I-X


    Section 3005(c)(2)(C) of RCRA provides a statutory deadline
which interim status treatment and storage facilities must submit ^bheir
Part B permit applications or their interim status will terminate <%>n
November 8, 1992 if EPA has not issued a permit.  The deadline for*
storage and treatment facilities to submit their permit applications  is
November 8, 1988.

    You should be aware, however, that these deadlines apply only  to
facilities and units that were in interim status on November 8,  1984.  A
unit handling temporarily excluded waste on November 8, 1984 or  a  unit
added to an interim status facility after this date through a change  in
interim status would not be subject to the 1988 application deadline  or
the 1992 permitting deadline.

    In order to give facilities subject to the 1988 deadline a full
six-month period to prepare and submit their applications  (at least  for
affected units), I urge you to send letters notifying these facilities
of the deadlines, and reminding then that they should submit a Part  B
application if_t&«3f*djy.ity intends to continue operating  after
November &ffi3Pjly> J'^U^M facility (or unit) plans to close prior  to
November Sfl^Hgbr Wi'iibould consider requesting a written confirmation
of intent €^HBm^&ll lieu of a Part B application.  For closing
facilitieirr<^PIpw^(JM^ useful to remind them that they must submit
their closure plari-foV approval at least 45 days prior to  the date that
closure will begin.  (Section 265.112(d)(1) requires owner/operators to
submit closure plans 45 days before they begin final closure of  a
facility with only tanks, container storage, or incinerator units.)

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                                  - 2 -

    These letters should be received by the regulated community on or
before May 8, 1988.  In authorized States, the letters could
consolidate
the State and Federal permit application requirements so that the
permitting jurisdiction of the two agencies is clear.  (Note that this
requirement to send letters to storage and treatment facilities is
referred to on page 2.1 of the FY 1988 RIP.)

    You should also expect facilities submitting Part B applications
by the 1988 deadline to make a good faith effort to provide complete
applications.  I believe that there are good reasons to require
preparation of a complete application by the 1988 deadline.  For
example, preparation of a complete Part B may initiate actions which
are environmentally beneficial.  These actions include:

         o Precipitation of decisions to close facilities that will
           have difficulty complying with Part 264 regulations or
           that do not intend to upgrade to meet permit standards;
           and

         o Stimulation of applicant decisions to begin improvements.

    I am sensitive to the problems created when applications become
stale during the time they are awaiting processing.  Some of these
problems might be alleviated if an additional letter is sent to
facilities several months prior to the scheduled date of permit
processing.  This will give them an opportunity to amend and update
their Part B before processing begins.  You may wish to consider
trying this approach.

    Thank you for your cooperation in meeting this important deadline.
If you have any questions, please call Frank McAlister at FTS 382-2223

cc:  RCRA Branch Chiefs,
      Regions I-X

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                  UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                             WASHINGTON. D.C. 20460
                                                      9521.1988(03)
                                                                  :OF
                                                      SOLID WASTE AND EMERGENCY
 MEMORANDUM

 SUBJECT:   Staying HSWA Permit Conditions
 FROM:    U  Sylvia K.  Lowrance, Director
                  of  Solid Waste (
 TO:        Allyn M.  Davis,  Director
           Hazardous Waste Management Division, Region VI

      This memorandum responds to your request of October 26,
 1988  for clarification of certain issues related to the staying
 of permit conditions.   You asked us to address the applicability
 of §124.16(b) (2)  to HSWA/RCRA joint permits.   In addition, you
 asked whether the Region can and should postpone the effective
 date  of  the  HSWA portion of the permit in each of the following
 cases:

      a.    Where both the HSWA portion and the authorized State
           RCRA portion of the permit were appealed,  the HSWA
           issues have been resolved, but some time will elapse
           before the State issues are also resolved and the
           State portion of the RCRA permit can become effective,
           and

      b.    Where the State portion of the permit is appealed
           without any appeal of the HSWA conditions.

      You explained  that your questions arose  in the context of
 appeals  of facility permits in authorized States.   We address
 your  questionii below in that context.

 I.  Applicability of § 124.16(b) (2) .

      Section 3.24. 16(b) (2)  provides that N[n]o stay of an
 EPA-issued RCRA,  UXC,  or NPOES permit shall be granted based on
 the staying  of any  State-issued permit except at the discretion
 of the Regional Administrator and only upon written request from
 the State Director."  In your memorandum,  you suggest that
 § 124. 16 (b) (2)  was promulgated before the enactment of HSWA and
 was not  intended to apply to the situation where an authorized
 State is issuing its authorized portion of a  RCRA permit and EPA
-is issuing the HSWA portion of that permit.

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     We agree that §124.16(b)(2), along with its requirement for
a written request from the State Director, does not apply to
joint EPA-State issuance of RCRA permits in authorized States.
As you know, under our interpretation of the statute and
regulations, only one permit  is typically issued to a facility
under the authority of Subtitle C.  Because most authorized
States are not yet authorized for HSWA, however, the permit
usually consists of a Federal portion (issued by EPA pursuant to
HSWA) and a State portion (issued by the authorized State
pursuant to RCRA).  The HSWA portion, in and of itself, is only
part of the RCRA permit.  It would not qualify, therefore, as an
"EPA-issued RCRA...permit" under §124.16(b)(2).  A different
situation exists in unauthorized States, where EPA issues the
entire RCRA permit (HSWA and non-HSWA portions).  Such a permit
would qualify as an "EPA-issued RCRA...permit" under  •
§124.16(b)(2).

II.  Staying of HSWA Permit Conditions.

     In your memorandum, you outline situations in which the
HSWA portion of a permit might become effective before
resolution of an appeal on the State portion.  You express
concern about declaring the HSWA portion of a permit effective
because doing so might cause the facility to lose interim
status.

     We recognize that problems might arise if facility interim
status were to terminate before a permit became fully
effective.  However,  issuance of the HSWA portion of a jointly
issued RCRA permit does not terminate the interim status of a
facility.  Interim status ends when final administrative
disposition of the RCRA permit application occurs.  Thus,
effectiveness of the authorized State's permit decision is a
prerequisite for termination of interim status.  This will be a
matter of State lav (e.g., whether the State appeal stays the
State permit decision).  If permit effectiveness is stayed
during an appeal as a matter of State lav, facility interim
status most likely continues under State lav until the entire
State portion of the permit goes into effect.  We believe that
the Region will, in most cases,  want to issue the HSWA portion
of the permit and begin corrective action as soon as possible.
This will not jeopardize a facility's interim status should
non-HSWA State portions be appealed.  Furthermore, corrective
action conditions can become effective when the permit is
"issued" (per the language in RCRA section 3004(u)),  not
necessarily when all permit appeals are completed.

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     If, for some reason, the Regional Administrator wishes to
delay the effective date of the HSWA portion, as your memorandum
suggests, the ability to do so depends on the circumstances in
each case.  We have, therefore, addressed the issue in the
context of each scenario you present in your memorandum.

a.  Both the HSWA and State RCRA portion of the permit are
appealed (under EPA and State procedures respectively).

     In the first scenario you describe, both the HSWA portion
and the RCRA portion of the permit are appealed and Federal
resolution of the HSWA issues occurs before the State appeal is
resolved.  We believe that, in the course of reissuing the HSWA
portion after an appeal, the Regional Administrator has
discretion to postpone the effective date of the HSWA -portion
under the procedures of §124.15(b)(1) and §124.19(f). 'It should
be noted that such a postponement may not be necessary in many
cases because we interpret §124.16(a)(2) to mean that
uncontested HSWA provisions that are inseverable from stayed
State provisions are also stayed.

b.  The State portion is appealed and the HSWA portion is not.

     Under your second scenario,  the State portion of the permit
is appealed without any appeal of the HSWA conditions.  In this
case, the Regional Administrator does not have an opportunity to
delay the effective date under either §124.15(b)(2) or §124.19
because the Regional Administrator's final permit decision has
been issued and become effective prior to advent of the permit
appeal.          " •••—.••

     This outcome is a function of the nature of the joint
RCRA/HSWA permitting process.  In the case of an authorized
State, where issuance of the full RCRA permit is a combined
action, State procedures must be followed to issue the State
portion and th« procedures of Part 124'must be followed to issue
the Federal portion.  While there may be a joint proceeding, two
separate decisions must be made because the State has no
authority to issue the Federal portion or vice versa.  These two
decisions can occur at the same or different times.  In turn,
the State portion must be appealed through State procedures and
the HSWA portion through the procedures of Part 124.  Where
there is no appeal of the HSWA portion, no stay of the HSWA
portion occurs automatically per §124.16(a)(1) as no appeal is
taken under §124.19.  Furthermore, the Regional Administrator's
issuance of the HSWA portion will already have an effective date
specified, per §124.15(b).  Hence, the Region will .not have the

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opportunity to alter that date orice the final HSWA permit
decision becomes effective, except via permit modification
procedures.  However, the effective date of the HSWA provisions
could otherwise be delayed automatically under S124.16(a)(2) if
they are inseverable from stayed RCRA permit conditions.

     I hope this addresses all of your concerns.  If you have
any questions, please call Barbara Foster at FTS 382-4751.

cc:  Michelle Anders
     Fred Chanania

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                                                     9521.1990(01)
           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                       MW23B90
MEMORANDUM

SUBJECT:  Splitting a Federal RCRA Permit

FROM:
TO:
Dev Barnes, Director
Permits and State Programs Division

James Scarbrough, Chief
RCRA and Federal Facilities Branch, Region IV
     This memorandum is in response to your correspondence, dated
May 1, 1990, in which you requested guidance concerning the
proper procedure for "splitting" RCRA permits which were
originally issued for a non-authorized State, when the State has
subsequently become authorized and has issued a "base" permit
identical to the non-HSWA portion of the Federal permit.  We
offer the following suggestions:

     One procedure, which may have some advantages, would be for
EPA to modify the Federal permit and specify an accelerated
expiration date (e.g., 30 days hence) for the entire permit.
Simultaneously, EPA would modify the State permit to incorporate
explicitly the HSWA provisions which were originally in the
Federal permit.  This portion of the State permit would remain
Federally administered.  If the permittee requests the
modifications, both could be Class I modifications according to
40 CFR Part 270.42.  Accelerated expiration is a specifically
listed Class I modification, and the addition of already existing
HSWA permit conditions to a State permit would qualify as Class I
under 270. 42 (d), since it would not constitute a substantive
change.  The. advantage to this procedure would be that only one
permit would remain, thereby reducing any potential confusion.

     Another possible alternative would be simply to modify the
Federal permit to allow for accelerated expiration of the non-
HSWA portion.  The Region would have to be careful to make sure
that only the base portions of the permit were identified and
allowed to expire, and not the HSWA elements.  This would achieve
in effect the same result as the previous option.  However, two
separate permits would continue to exist, at least until the
State is authorized for corrective action, at which time
Federal permit could be ej.j«Mtoa>gtfcgsanfl

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                                                       lajS^-^XSjiiSfc**--
                                                          '•-*-"$&*•-•
              -'  	tmtmi'. freg*
          UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
to incorporate a State-implemented HSWA portion.

     Under either procedure,  actual termination of the permit or
portions thereof, according to  40 CFR Part 124, would be
unnecessary.  Although we believe there is a potential advantage
to using the first procedure  (that is,  having a single
consolidated permit), either  option would be legally acceptable
and should be relatively straightforward administratively.

     We have consulted with the Office of General Counsel
concerning this issue, and this memorandum reflects our joint
wisdom.  If you have any questions, please call Dave Fagan of my
staff  (382-4497) or Carrie Wehling of OGC (382-7703).

cc:  Pat Tobin
     RCRA Hazardous Waste Branch Chiefs, Regions I-III & V-X

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                                                          9521.1991(01)
              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                             AUG27 199!
MEMORANDUM

Subject:  Potentially Conflicting Regulation of Infiltration
          Galleries by the Office of Ground Water and  Drinking
          Water and the Office of Solid Waste

From:     Sylvia K. Lowrance
          Director
          Office of Solid Waste

To:       Frederick F. Stiehl
          Enforcement Counsel for Water

     This is  in response to your July 26 memorandum regarding
potential conflicts in the regulation of infiltration  galleries
by OGWDW and  OSW as a result of our April 2, 1991 Federal
Register notice extending the Toxicity Characteristic  compliance
date for certain injection wells.  Apparently, since the
compliance date was not extended for infiltration galleries, our
discussion was construed to indicate that injection wells and
infiltration  galleries are mutually exclusive unit types.  As is
explained below, this was not our intention.

     The intent of the extension was to provide relief to
operators of  injection wells used in certain hydrocarbon recovery
operations.   Since application of the TC would cause these Class
V wells to become Class IV wells, these beneficial cleanup
operations would be halted in cases where the Class IV wells do
not have UIC  permits and where the cleanup operations  do not meet
the conditions of Section 3020 of RCRA.  We believed that
owners/operators of these units were in an impossibility
situation—that is, their operation would be in violation of
RCRA, but the continuation of the cleanup was ordered  by the
State.  Where the unit was not an injection well, this
impossibility did not exist, since they could continue to operate
the unit under interim status.   For such units (i.e., units
other than injection wells), the extension was not provided.  In
distinguishing between units to which the extension was
applicable  vs. other units, we noted that if the infiltration
gallery met the definition of an injection well, then  the
extension would apply.  That is, we recognized that some of the
units identified by the industry as "infiltration galleries" may
meet the UIC  program's definition of an injection well and, if
they did, they were included in the extension.  On the other
nana, certain units mat couj.o«(7oac«iL¥
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              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

"infiltration galleries"  (e.g., leaking surface impoundments)
were not injection wells and thus were not included in the
extension.

     We believe that this approach is consistent with that of
OGWDW and the Department of Justice, as described it in your
memorandum.  In order to clarify this matter, there are two
apparent options:  we could either issue a clarifying memorandum
to the Regions or publish a short clarification notice in the
Federal Register.  We would be pleased to work with you to
develop appropriate language to ensure consistency between our
offices.  Should you wish to pursue either of these options, or
discuss another course of action, please contact Dave Topping of
my staff at 382-7737.

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                                                      9521.1991(02)
             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                        WASHINGTON. D.C. 20460
                           ALJS30I99I
                                                      OFFICE OF
                                             SOLID WASTE AND EMERGENCY RESPONSE
MEMORANDUM
SUBJECT:  Permit Status of Underground Injection Wells Used in
          Certain Hydrocarbon Recovery Operations
FROM:     Sylvia K. Lowranc&  A  ^V  -P
          Director         t7ju\s  J^ A-	
          Office of Solid-
Lil^tX  *


L-t^stft
TO:       Janes R. Elder
          Director
          Office of Ground Water and Drinking Water


     On April 2, 1991, OSW promulgated a rule that extended  the
compliance date for the Toxicity Characteristic until January  25,
1993 for groundwater that is reinjected through injection wells
during certain cleanup operations.  More specifically,
application to produced groundwater from free-phase hydrocarbon
recovery operations at petroleum refineries, marketing  terminals,
and bulk plants was deferred at the point at which the
groundwater is reinjected.  Without this extension, most
reinjected groundwater from these operations would have become a
RCRA hazardous waste on September 25, 1990.

     The basis for this compliance date extension was a
regulatory "impossibility" situation encountered at these
operations.  In many cases, the cleanup/recovery operations  were
mandated under State orders but would be banned under both RCRA
and UIC regulations unless they were, among other things, part of
a cleanup under either RCRA or CERCLA.  The two-year extension
was intended to allow time for the Agency to develop a  mechanism
to permit these wells (as Class IV) upon the January 25, 1993
compliance date of the TC.  The purpose of this memorandum is  to
ensure that our Offices work together to resolve this situation
before that date.

     In a February 19, 1991 memorandum from Peter Cook  to Jeffery
Denit (copy attached), it was stated that ODW's policy  is that
Agency approval of these operations under RCRA or CERCLA
constitutes "authorization by rule" for the Class IV wells
involved in the cleanup.  Since this may be- crucial to
establishing the mechanism to allow continued operation of these
operations, we should ensure that the affected programs are
comfortable with this policy and that it is legally defensible.
                                                          Printed on Recycled Paper

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     Key issues include the meaning of "approved under RCRA or
CERCLA."  It must be determined whether this "approval1.1 is in the
form of a permit, a written order, or some less formal
endorsement of the operation.  Likewise, the scope of the RCRA
permit-by rule provisions of 40 CFR 270.60 (b), which afford a
RCRA permit to a UlC-permitted injection well, should be
discussed and clarified.  There are also procedural issues to be
addressed, including whether the policy has been subject to
sufficient public notice and comment.

     Depending upon the resolution of these issues, one of
several options may be preferred.  If additional notice and
comment is not required, an explanation of the policy could be
included in an upcoming TC clarification notice planned by OSW.
Otherwise, notice and comment requirements could be satisfied
through an OGWOW rulemaking to codify the policy into the UIC
regulations.

     We look forward to working with you on this issue to ensure
that the purpose of the compliance-date extension is realized.
The OSW lead for this project is Dave Topping, who can be reached
at 382-7737.  Please have the appropriate member of your staff
contact him-at your earliest convenience.

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              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                         WASHINGTON, D.C. 20460
                                                 9521.1994(01)

                            OCT 11 1994

                                                       OFFICE OF
                                              SOLID WASTE AND EMERGENCY RESPONSE
MEMORANDUM

SUBJECT:  Regulation of Fuel Blending  and  Related Treatment  and
          /Storage Activities
FROM:   /^Micnaer H. Shapiro, Director
     /tl:  Off iae of Solid Waste

     u      (y
TO:       Hazardous Waste Management Division Directors
          Regions I-X


     The purpose of this memorandum is  to  address  a number of
questions under the Resource Conservation  and Recovery Act (RCRA)
regarding the regulatory status of hazardous  waste fuel blending
activities.  The memorandum is concerned primarily with
facilities that are commonly known as  "fuel blenders," although
the waste management activities of these facilities most often
include a set of integrated waste processing  operations more
diverse and complex than just the fuel  blending  activities
themselves.  A number of issues have been  raised regarding the
applicability of the RCRA permitting requirements  and  the land
disposal restriction  (LDR) requirements to these facilities.   The
guidance provided below discusses these issues generally.
However, since many fuel blending operations  are complex,  there
may be some f acility- specif ic regulatory concerns  that are best
addressed on a case-by-case basis.

Permit Requirements

     The RCRA program regulates hazardous  waste  storage,
treatment and disposal activities with  the permitting
requirements of 40 CFR Part 270, and with  unit -specific standards
and other substantive requirements of Parts 264-268.   Hazardous
waste fuel blending facilities have activities that constitute
storage and/or treatment of hazardous wastes.  Consequently,  they
are subject to full RCRA regulation, including permitting,  with
few exceptions as discussed below.

     Fuel blending operations are addressed in Part 266.
Specifically, §266. 101 (c) states that,  "owners and operators  of
facilities that store hazardous waste that is burned in a boiler
or industrial furnace are subject to the applicable provisions of
Parts 264, 265 and 270 of this chapter..." This provision
                                                          Printed on Recycled Paper

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further states,  "These standards apply to storage by the burner
as well as to storage facilities operated by intermediaries
(processors, blenders, distributors, etc.) between the generator
and the burner."

     Some fuel blenders have asserted that, since their
activities are considered recycling, the blending operation is
exempt from permit requirements according to §261.6(c)(1).
Section 261.6(a)(2), however, clearly states that hazardous
wastes which are recycled materials and are burned for energy
recovery "...are regulated under Subparts C through H of Part 266
of this chapter and all applicable provisions in Parts 270 and
124 of this chapter."  This provision makes it clear that fuel
blending is not exempt from regulatory standards or permitting.

     It is possible that fuel blending in tanks or containers
could be exempt from permitting, but only if the blending occurs
at the site where the wastes being blended are generated. - The
permit-exempt management would have to meet the provisions of
§262.34,  which requires the waste to be processed within 90 days
in units that comply with the technical standards of Part 265,
Subpart J (for tanks), and Subpart I (for containers).  The
generator must also comply with specific emergency response and
personnel training provisions of Part 265.  This permit exemption
is not available if the unit is classified under Part 265 as a
thermal treatment unit (Subpart P).  Thus, fuel blending is
treated like any other treatment or storage activity for purposes
of qualifying for the ninety-day generator permit exemption.

     There may be some recycling operations at a fuel blending
facility that are exempt from permitting, even though the fuel
blending process itself is not exempt.   The exemption is only
available to units that are solely engaged in permit-exempt
recycling;  if the reclaimed materials are sometimes sent for use
as a fuel,  then the recycling unit would be subject to the
permitting standards.  In States that are authorized for the RCRA
program,  the State recycling exemptions must be as stringent as
the Federal program.

Appropriate Unit Standards

     Most fuel blending facilities employ unit operations that
are regulated under the tank standards of Subpart J of either
Part 264 or 265.  However, some facilities are using other
devices such as shredders, grinders, filters,  microwave units and
distillation columns in their hazardous waste management
operations.   Depending on the specific configuration of these
operations,  they are permitted as either tank systems  (including
ancillary equipment) or as miscellaneous units under Subpart X.
Furthermore, additional permit conditions may be imposed using
the omnibus authority of RCRA Section 3005(c)(3)  as necessary to
protect human health and the environment.  Since these operations

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vary from site to site, the appropriate permitting authority  (the
State or EPA Regional Office) must decide which unit standards
are the most relevant for each specific facility.

Air Emission Standards

     Another question that has been raised concerns the
applicability of the organic air emission standards for process
vents and equipment leaks  (Subparts AA and BB, Parts 264/265).
These standards limit organic emissions from  (1) process vents
associated with distillation, fractionation,  thin-film
evaporation, solvent extraction, and air or steam stripping
operations that manage hazardous wastes with  10 parts per million
by weight (ppmw)  or greater total organic concentration, and
(2) leaks from equipment that contains or contacts hazardous
waste streams with 10 percent by weight or greater total
organics.  Due to the typically high organic  content of the
hazardous wastes managed at fuel blending facilities, we would
expect the Subpart AA and BB requirements to  be applicable.

     The AA and BB requirements are also applicable to hazardous
waste recycling units if they are located at  hazardous waste
management facilities that have other units subject to
permitting.   Although some recycling units are exempt from the
unit-specific standards of Parts 264 and 265  pursuant to
§261.6 (c),  such units must comply with any applicable AA and BB
requirements of those Parts.  See §261.6(d).

     On July 22,  1991 (56 FR 33490), the Agency proposed unit-
specific air emission standards that would provide additional
controls on tanks,  containers, and Subpart X  units,  among others.
When these standards are promulgated as final rules (promulgation
is scheduled for November 15, 1994), they will be applicable to
fuel blender facilities.

Transfer Facilities

     Transfer facilities are those transportation related, sites
including loading docks, parking areas, storage areas and other
similar areas where shipments of hazardous wastes are held or
repackaged during the normal course of transportation.   Section
263.12 allows these facilities to store wastes in containers
without RCRA permits as long as specific packing requirements are
followed and the wastes do not remain on-site for more than
10 days.  Transfer operations are limited to  bulking and
consolidation of wastes.  Selective blending  of hazardous waste
fuels to meet a fuel specification at a transfer facility is not
an appropriate activity under §263.12; this would constitute
hazardous waste treatment requiring a permit.

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Land Disposal Restrictions

     Generators

     Generators of prohibited hazardous wastes  (i.e. hazardous
wastes required to meet a treatment standard before they can be
land disposed) must comply with certain notification,
certification, and recordkeeping requirements designed to assure
proper tracking of the waste and adequate notice to the treatment
facility of applicable treatment standards, as  set forth in
40 CFR 268.7(a).   (Note that if an offsite fuel blender/multi-
purpose facility treats or otherwise manages a  waste such that a
new point of generation occurs, then the offsite facility becomes
a generator and is therefore subject to these generator
requirements.)  These provisions apply whenever a generator ships
a prohibited waste to another entity for eventual land disposal,
and so apply when generators send prohibited wastes to fuel
blenders/multi-purpose treatment/storage facilities.  Although
the wastes may be combusted, some residue  (such as combustion
ash)  would be land disposed and must meet the treatment standard
applicable to the combusted hazardous waste (as discussed at 58
FR 29872; May 24, 1993).  Information normally  required to be
included in the notice are:

     EPA hazardous waste number
     constituents of concern
     treatability group
     manifest number
     waste analysis data (where available)

     According to §268.9(a), these provisions also apply when
generators send characteristic wastes off-site.  If the generator
treats the characteristic waste to make it non-hazardous before
sending it to a fuel blender/multi-purpose facility, a one-time
notice and certification must be placed in the  generator's files
and also be sent to the EPA region or authorized-State, according
to §268.9(d).   This one-time notice provision applies only to
cases where wastes are hazardous by reason of characteristic
alone, (as discussed in 55 FR 22662-63; June 1, 1990),  and so
does not apply when a mixture includes a listed waste.

      There are circumstances where an otherwise-prohibited waste
destined for combustion may not be subject to LDR requirements
(including the tracking requirements)  because neither the waste
nor the residue from treating the waste is subject to a treatment
standard when land disposed.  This could occur where hazardous
wastes are going to be burned for energy recovery in a Bevill
device, such as a boiler or cement kiln.  If the wastes are
burned for energy recovery in a Bevill device that processes
normal Bevill raw materials as well,  and the Bevill device can
show that its residues were not significantly affected by its
hazardous waste-burning activities (the "significantly affected"

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test is found in 40 CFR 266.112), then the  residues can retain
Bevill-exempt status and not have to meet LDR  treatment
standards.  Further, if the Bevill device produces a product that
is used in a manner constituting disposal  (e.g., a cement or
light-weight aggregate kiln), and the hazardous waste is burned
for energy recovery rather than for destruction or as an
ingredient, then the product is not required to meet LDR
treatment standards.'  In these situations where neither residues
nor products are subject to LDR treatment standards, the original
generator's waste would not be considered prohibited from land
disposal.  According to §268.7(a)(6), if such  a generator can
assure that the conditions discussed above  are all true regarding
the disposition of its otherwise-prohibited waste, then the
generator is only required to prepare a one-time notice for its
facility records documenting this disposition  and not to comply
with other tracking/notification requirements.  If a generator is
not in a position to know that this is the  case, then the full
notification/certification requirements under  §268.7(a) would
apply.

     Fuel Blending Facilities

     According to §268.7(b), treatment facilities  (e.g., fuel
blenders, BIFs,  etc.)  must also prepare a notification and
certification for prohibited wastes.  These provisions ordinarily
apply to fuel blending operations because combustion residues are
ultimately land disposed and the combustion residue ordinarily
remains subject to LDR treatment standards.  These treatment
standards would continue to apply to characteristic wastes that
no longer exhibit a characteristic when land disposed, according
to §268.40(e), so that de-characterized residues from burning
prohibited characteristic wastes are still  subject to treatment
standards.  (Note,  that for D001 wastes, combustion residues meet
the BOAT standard since these standards require a method of
treatment rather than treating hazardous constituents to a
specified concentration level.)

     Because fuel blenders are intermediate treatment operations,
they must comply with §268.7(b)(6)  (assuming the intermediate
treatment does not: fully achieve the treatment standard) .
Specifically,  this section requires the fuel blender to prepare
the same notification and certification that is required for
generators, which in some cases will be the one-time notification
discussed for generators above and in other cases will be
applicable to each waste shipment.  The notification and
certification would accompany the blended fuel when it leaves the
site to be transported to the subsequent treater (e.g., BIF) .

     If you have any questions on the applicability of the
regulations and permitting requirements for fuel blending
activities, please call James Michael of my staff at

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(703)  308-8610.  Questions on the applicability of the land
disposal restrictions  (LDR) on fuel blending activities should be
directed to Rhonda Craig of my staff at  (703) 308-8771.

cc:  RCRA Branch Chiefs, Regions I-X
     RCRA Permit Section Chiefs, Regions I-X
     Enforcement Section Chiefs, Regions I-X
     Waste Combustion Permit Writers' Workgroup

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bcc: Dev Barnes, PSPD
     Frank McAlister, PSPD
     Jim Michael,  PSPD
     Sonya Sasseville,  PSPD
     Jeff Gaines,  PSPD
     Fred Chanania,  WMD
     Bob Holloway,  WMD
     Frank Behan,  WMD
     Mitch Kidwell,  CAD
     Larry Starfield, OGC
     Steve  Silverman, OGC
     Brian  Grant, OGC
  .   Susan  O'Keefe, OECA
     Kate Anderson, OECA
    Jim Thompson,  OECA

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This Page Intentionally Left Blank

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            UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                       WASH.NGTON. O.C. 20460         QSWER POLICY DIRECTIVE NO.


                                                  9522,00^1   -

        / 5  :'
                                                        OFFICE OF
                                               SOLID WASTE AND EMERGENCY
MEMORANDUM
SUBJECT:  Effect of Land Disposal Restrictions on Permits

   FROM:  Marcia E. Williams, Director
          Office of Solid Waste

     TO:  Hazardous Waste Division Directors
          Regions 1-X


     On or before November 8, 1986, the Agency will promulgate
regulations that will restrict the disposal of certain solvents
and dioxins that are hazardous wastes.  (Note that in the absence
of such regulations a ban on the land disposal of these wastes
would automatically take effect on November 8 pursuant to the
self-implementing RCRA provision at $3004(e).)  The land disposal
restrictions will apply to all land disposal facilities regard-
less of any existing permit conditions.

     The HSWA land disposal restrictions supersede the §270.4
provision which currently provides that compliance with a RCRA
permit constitutes compliance with Subtitle C.  Therefore, the
permit does not shield the facility from the new land disposal
requirements.  The Agency is in the process of amending $270.4
to make it consistent with the self-implementing requirements
of RCRA.  (See 51 FR 10715, March 28, 1986.)  However, these
provisions automatically apply to permitted facilities even
without the regulatory change.  In addition, there is no need
to reopen or modify the existing permits to incorporate those
provisions.  The land disposal restrictions are fully enforceable
notwithstanding contrary or absent permit provisions concerning
land disposal.

     Similarly, for those land disposal permits that are now
being proc«««ed it is noc necessary to provide permit conditions
regarding the applicability of the land disposal restrictions
since they apply automatically.  However, the Fact Sheet should
briefly describe the effect of the new requirements for the
benefit of the public and the facility owner/operator.  The
following language is recommended for inclusion in the Fact
Sheet:

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                                                   OSWER POUCf OIRECTWl Ittt

                                                  9 5 22 2  . 0 0 a 1   r-
                             -2-
     SELF- IMPLEMENTING HSWA PROVISIONS
     In several  instances HSWA imposes self- implementing
     requirements that apply to all facilities regardless of
     their current permit conditions.  RCRA provisions that
     supersede permit conditions include:  1)  requirements that
     go into effect by statute, and 2) regulations promulgated
     under 40 CFR Part 268 restricting the placement of hazardous
     wastes in or on the land.  Pursuant to this RCRA authority,
     certain dtoxins and solvents have been restricted from
     land disposal unless treated according to* specified standards,
     Although the permit does not contain conditions regarding
     the management of the restricted dioxin and solvent wastes,
     the facility is required to comply with the standards in 40
     CFR Part 268."

     Once the Land disposal restriction program is established.
it will be preferable to incorporate the applicable standards
and practices into new permits.  This will clarify specific
activities at che facility and will simplify enforcement of
the land disposal requirements at permitted facilities.

     Please feel tree to contact Frank McAlister of the Permits
Branch (FTS 382-2223) if you have any questions regarding this
matter.

cc :  Hazardous Waste Branch Chiefs, Regions I-X
     Bruce Weddle, OSW
     Lloyd Guerci, OWPE
     Carrie Wehling. OGC

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                                          Policy Directive 9522.00-3
           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

                       WASHINGTON. O.C. 20460
                           NOY 13 1987
                                                       O'f ICE Of
                                              SOLID WASTE AND EM£«GEMC"
MEMORANDUM
SUBJECT:
FROM:
TO:
Region >Cs Recommended. Revision  of  40  C.F.R.  §5270.4(a)
and
      ,t.-
GenaLucero, Director
Office of Waste Programs Enforcement

                         -'• •/
Marcia Williams, Director .,X
Office of Solid Waste    .-'
                        / I.'
Charles E. Findley, Director
Hazardous Waste Division
Region X
     In your memorandum dated June 26,  1987,  you  identify
several potential enforcement problems  in  the RCRA  permitting
regulations and in the corresponding  language in  the  Agency's
model permits.  In addition, you present  alternative  language
that Region X intends to  incorporate  into  permits to  prevent
these enforcement problems.  Specifically,  you express  concerns
with the language of $270.4(a)  (and similar language  in
$270.32(b)(1)) which states:
          Compliance with a RCRA permit  during
          constitutes compliance,  for  purposes
          with Subtitle C of RCRA.
                                      its  term
                                      of enforcement,
     Several issues are  involved  in  the  consideration of this
"permit shield* provision.  First, we  agree that  this language
mav be ovarly broad for  some of the  reasons you cited in your
memorandun.  However, we do not believe  that it presents a
serious impediment to enforcing the  RCRA Subtitle C requirements
that arc outside the permit's scope.   Although an argument can
be made that $270.4(a) limits the  enforceability of any RCRA
Subtitle C requirements  not addressed  by the permit,  such an
interpretation would conflict with the intent of other RCRA
provisions.  Many of the Subtitle  C  requirements are not designed
for, and are not appropriate for  inclusion a» periM*  "«-v-'i(.1oi.
nam«l/ oarts 260, 261, 262, and 263,   An iil""k-iLlvn of the
Agency's intent to i*-lo,.i«nc fc>*-:i- rart  260-263 standards ?utj>ide

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                                       OSWER Policy Directive 9522.OC-3


                               -2-


of  the permit  is  S262.10(f)  which  applies  the Subtitle C  Part
262  generator  standards  to  permitted  facilities that generate
hazardous wastes.

     Second, the  regulations  at  $270.32( b) ( 1) indicate that a
permit should  include  conditions that  incorporate the standards
specified in Parts  264,  266,  267,  and  263.   (Note, however, that
the  applicability of  Part 267  has  expired.)  The purpose  of
$270.32(o)( 1)  and the  "permit  as a shield"  provision of $270.4(a)
is  to assure the  permittee  that by complying with the permit, he
or  she is in compliance  with  the RCRA  facility standards.  Thus,
given $270.32(b)(1) ,  the permit shield  applies in all cases to
the  facility standards of Parts 264  and  266.
                                               •
     The relation of  the permit shield  provision to Part  263  is
nore complex.  As a result  of  HSWA,  the  self-implement ing
facility standards  imposed  by  statute  and  the Part 268 land
disposal restrictions  apply to all permitted facilities despite
the  shield  provision  of  $270.4(a),  except  in those cases  where
the  self-implementing  requirements have  been incorporated into
the  permit.  (See the  March 28,  1986  proposed amendment to $270.4,
51 FR 10715.)  Consequently,  if the  self-implementing RCRA
provisions  are incorporated into the  permit, the permit will  act
as a shield  from these self-implementing requirements.  EPA
maintains its  position that it is  generally preferable to incor-
porate the  Part  268 and  related statutory  standards into  new
permits whenever possible.   At the same  time, the Agency  must
assure that  the  permittee is  obligated  to  comply with new or
amended self-implementing provisions  that  occur after permit
issuance.   Sample permit language  is  provided below to achieve
that effect.

     Based  on  the two  points  discussed  above, we believe  that
$270.4(a) is not as serious an impediment  as you suggest.
However,  we  agree with your concern  that there is a potential
for confusion, and  concur with your  approach to modifying the
permit language  to  clarify  the effect  of the permit for
enforcement  purposes.  We recommend  a  few  changes to your
suggested alternative  language to  indicate more clearly which
40 C.F.R. Parts  are shielded by the  permit and those that are
not  shielded.  Thus,  the boilerplate  language should read as
follows:

          Compliance  with this permit  during its term
          constitutes  compliance,  for  purposes of enforcement,
          with 40 C.P.R. Parts 264 and 266 only for those
          management  practices specifically authorized by this
          permit.   The permittee  is also required to comply
          with Parts  260, 261, 262,  and 263 to the extent the
          requirements of those  Parts  are  applicable.

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                              -3-
                                     OSWER Policy Directive 9522.00-3
Tn addition, one of the following conditions should be used
to reflect the applicability of the statutory and Part 268
self-implementing provisions:

       1.  For permits that do not incorporate self-implement ing
          requirements:

          The permittee must also comply with all applicable
          self-implementing provisions  imposed by the RCRA
          statute or the Part 268 regulations.

       2.  For permits that incorporate  self-implementing
          requirements:
                                              •
          Compliance with this permit constitutes compliance,
          for purposes of enforcement,  with Part  263 only  for
          those management practices and related standards
          specifically authorized by this permit.  The permittee
          must also comply with all applicable self-implementing
          provisions that take effect after issuance of this
          permit, whether they are imposed by the RCRA statute
          or the Part 268 regulations (including  amendments)-

You may also add a general provision which states that compliance
with the permit does not constitute a defense against any  action
brought under law to protect human health or the  environment,
including other requirements not necessarily included in the
permit.

     Thank you for bringing this matter to our attention.   We
will, continue to reexamine the entire permit shield  issue  to
determine whether further changes to 5270.4(a) are warranted.
If vou have additional Questions or observations  on  this subject
please contact Frank McAlister of the Office of Solid Waste
(FTS 382-2223) or Susan Hodges of the Office of Waste Programs
Enforcement (FTS 475-9315).


cc:  Waste Management Division Directors, Regions I-IX
     RCRA Branch Chiefs, Regions I-X
     Regional Counsels, Regions I-X

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           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                            WASHINGTON, B.C. 20460

                                                                      OFFICE OF
                                                               GENERAL COUNSEL

March 22, 1979

MEMORANDUM                                              9522.1979(01)

TO:         Steffen Plehn
             Deputy Assistant Administrator
              for Solid. Waste (WH-562)

FROM:      James A. Rogers
             Associate General Counsel
             Water and Solid Waste Division (A-131)

SUBJECT:    Applicability of the National Environmental Policy Act's Environmental
             Impact Statement Requirements to EPA's Actions Under the Resource
             Conservation and Recovery Act.

INTRODUCTION

       You have  requested a legal opinion on whether your office must comply with the
Environmental Impact Statement (EIS) requirements of Section  102(2)(C) of the National
Environmental Policy Act of 1969 (NEPA),  42  U.S.C. §4321 et seg., 83 Stat. 852 (1969),
when it takes actions under the Solid Waste  Disposal Act, as amended by the Resource
Conservation and Recovery Act of 1976 (RCRA), 42 U.S.C. §6901 et seg., 90 Stat. 2795
(1976).  For the reasons set forth below, I conclude that there is no legal requirement for
your office to comply with the procedural requirements of Section 102(2)(C) of NEPA prior
to rulemaking, issuing permits to hazardous  waste disposal facilities, or approving State
hazardous and solid waste programs. However, I conclude  that Environmental Impact
Statements may be required before financing the construction of demonstration projects or
solid waste disposal facilities if such actions are "major federal  actions significantly affecting
the  quality of the human environment," as that key phase is used in NEPA.

BACKGROUND

       Section 102(2)(C) of NEPA,  requires the consideration of environmental impacts,
alternatives,  and commitments of resources for any "major federal action significantly
affecting  the quality of the human environment."  Procedurally, this section requires the
responsible federal official to prepare an environmental impact  statement  in writing before
the  action is  taken, circulate it to other federal,  state  and local agencies, and  make it
available  to the public.  Courts have enjoined federal actions because an environmental
impact statement  was not prepared before the project was commenced or because it was not


                           Tliis document has been retyped from the original.

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                                         - 2 -

circulated for public comment.1 And many federal projects have been halted because not all
the environmental impacts were considered or because not all alternatives were considered.2

       Although one early case held that NEPA applied to agencies engaged  in the protection
of the environment,3  subsequent cases have stated in various fashions  that EPA is exempt
from NEPA in the performance of its regulatory functions.  This exemption is based on
functional equivalence between the actions of EPA in carrying out statutes designed to
protect the environment, and the requirements of NEPA.

THE FUNCTIONAL EQUIVALENCE TEST

       The term "functional equivalent" was coined by the D.C.  Circuit  in Portland Cement
Assoc. v.  Ruckelshaus.4 Its requirements have been concisely summarized by the U.S.
District Court for Maryland in Maryland v. Train. 415 F. Supp.  116, 122 (1976):

             where  federal regulatory action is circumscribed by extensive
             procedures,  including public participation, for evaluating
             environmental issues and is taken by an agency with recognized
             environmental expertise, formal adherence to the NEPA
             requirements is not  required unless Congress has specifically so
             directed.

Through application of this test, EPA has been found to be exempt from  NEPA when taking
regulatory actions under the Clean Air Act,5 the Federal Insecticide, Fungicide and
      See, e.g.. Greene County Planning Board v. FPC. 455 F.2d 412 (2d Cir. 1972);
      Hanly v. Kleindienst. 471 F.2d 823 (2d Cir. 1973).

      See, e.g.. Hanlv v. Mitchell. 460 F.2d 640 (2d Cir.  1972); Natural Resources
      Defense Council v. Morton. 459 F.2d 827 (D.C. Cir. 1972).

      Kalur v. Resor. 335 F. Supp. 1, 12 (D.D.C. 1971) But, see Portland Cement
      Association v. Ruckelshaus. 486 F.2d 375,  384 n.41 (D.C. Cir.  1973) ("Kalur was
      dismissed as moot on appeal to this court ... and  is of no precedential value.")

      486 F.2d 375 (1973), cert, denied 417 U.S. 921 (1974).

      See, e.g.. Appalachian Power Co.  v. EPA. 477 F.2d 495 (4th Cir.  1973) (Section
      110); Portland Cement Assoc. v. Ruckelshaus. supra (Section 111); International
      Harvester Co. v. Ruckelshaus. 478 F.2d 615 (D.C. Cir.  1973) (Section 202); Amoco
      Oil Co. v.  EPA. 501 F.2d 722 (D.C. Cir.  1974) (Section 211).

                           This document has been retyped from the original.

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                                         - 3 -

Rodenticide Act (F1FRA),6 and the Marine Protection, Research and Sanctuaries Act
(MPRSA).7

APPLICABILITY OF THE FUNCTIONAL EQUIVALENCE TEST TO RCRA

       To determine whether EPA is exempt from NEPA for actions taken under RCRA, it
is necessary to examine whether all of the requirements of the functional equivalence test are
met.

       As a starting point, since the functional equivalence test applies only to regulatory
actions, some actions taken under RCRA are  not exempt from NEPA.  The funding of
demonstration projects8 and solid waste disposal facilities9 are not regulatory; therefore,
they are not exempt. However, this does not necessarily mean that environmental impact
statements are required. NEPA requires impact statements only for  "major federal action
significantly affecting the quality of the human environment." Existing regulations provide
procedures for reviewing research and development projects and financial assistance for solid
waste disposal facilities which can be used to decide whether impact statements are needed
for specific projects.10

       RCRA also requires a  number of studies and reports.11  Although these activities are
not exempt as regulatory activities, it is unlikely  that they would significantly affect the
environment. For all practical purposes, they can be considered to be  exempt from NEPA.

       There remains three major sets of regulatory actions:
       (1)    rulemaking,12
6      See, e.g.. Environmental Defense Fund v. EPA (DDT). 489 F.2d 1247 (D.C. Cir.
       1973)  (Section 6); Environmental Defense Fund v. Blum (ferriamicide). 458 F. Supp.
       650 (D.D.C. 1978) (Section 18).

7      Maryland v. Train, supra.

8      RCRA §8004.

9      RCRA §§4008(e)(l) and 4009(c).

10      40 C.F.R. Part 6 Subparts F and G.

11      E.g. RCRA §§2005, 7007(c), 8002, 8003, 8005.

12      See, esp.. RCRA §§3002-04 (standards of performance for hazardous waste
       generators,  transporters, treaters, and disposers); 1008 (guidelines for solid waste
       disposal methods); 4002 (guidelines for State solid waste plans); 4004 (criteria for
       identifying open dumps); and 3006 (criteria for State hazardous waste plans).

                            This document has been retyped from the original.

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                                          - 4 -

       (2)    permits for hazardous waste facilities,13
       (3)    approval of State hazardous and solid waste programs.14

The threshold tests of the functional equivalence  test; i.e., "... federal regulatory action...
taken by an agency with  recognized environmental expertise...." are clearly met with respect
to these regulatory actions, but it must also be determined whether the regulatory actions are
"... circumscribed by extensive procedures, including public participation, for evaluating
environmental issues...." This is best done by comparing public participation and
environmental consideration requirements which have been found to  meet the test in other
cases  with the requirements of RCRA.

Public Participation

       Public participation adequate to satisfy the requirements of NEPA can be achieved
through notice-and-comment rulemaking procedures or through public hearings.  In Portland
Cement the court concluded that "although the rulemaking process may not impart the
complete advantages  of the structured  determinations of NEPA, it does, in our view strike a
workable balance between some of the advantages and disadvantages of full  application of
NEPA."15  The court also conclude that the rulemaking process offered  an opportunity for
other  agencies to submit  their comments and served to alert the public and Congress  to
possible adverse impacts.16

       Public participation in the approval of State hazardous and solid  waste programs
under RCRA §§3006 and 4007, respectively,  is assured through required public hearings on
hazardous waste plans and through public participation in the development of both types of
plans  as required by  Section 7004(b).

       The approval  of State hazardous waste programs under RCRA and the  approval of
State Implementation Plans under Section 110 of the Clean Air Act both require  public
hearings on the development of the plans.17 Since the approval of State Implementation
13      RCRA §3005.

14      RCRA §§3006 and 4007.

15      486 F.2d at 386.  But the court also pointed out that "an EPA statement of reasons
       for standards  and criteria requires a fuller presentation than the minimum rule-making
       requirement of the Administrative Procedure Act."  [citing Kennecot Copper Co. V.
       EPA.  462 F.2d 846 (D.C. Cir.  1972)]. Jd.

16      Id.  However, the court suggested that EPA or CEQ guidelines for the distribution of
       impact statements be adapted to provide for circulation of statements of reasons and
       supporting documents to other agencies.  486 F.2d at 386, p. 43.

17      Compare Clean Air Act §110(a)(l), 42 U.S.C. 1857c - 5(a)(l) with RCRA §3006(b).

                            This document has been retyped from the original.

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                                          -5 -

Plans has been held exempt from NEPA,181 conclude that public participation in the
approval of State hazardous waste plans through public hearings satisfies the requirements of
the functional equivalence test.

       RCRA does not specifically provide for public hearings on the approval of State solid
waste plans.19  However, Section 7004(b)  requires the Administrator to develop  minimum
guidelines for public participation in the development and implementation of any program
under the Act.  If public hearings are required before approval of State hazardous waste
plans, the requirements of the functional equivalence test will be met.

       Although Section 3005 of RCRA does not provide for public hearings for the issuance
of permits for hazardous waste  treatment,  storage or disposal facilities,  the Administrative
Procedure Act requires hearings on the issuance of licenses.20  In four cases  involving
actions similar to licensing or permitting actions, public hearing requirements were found
adequate to  satisfy the functional equivalence test.21   It is not necessary  that a hearing
actually be held to satisfy the functional equivalence  test's  public participation requirement
for permit actions.22 Thus, I conclude that,  if provision is made for public hearings on
hazardous waste facility permits, the public participation requirements of the functional
equivalence  test will be met.

Consideration of Environmental Issues

       The central requirement  of the functional equivalence test is that the Agency's
procedures provide  for the  consideration of environmental  issues.  In International Harvester
Co. v. Ruckelshaus. supra  the court  said that

              we see little  need in requiring a NEPA statement from an
              agency whose raison d'etre  is the protection of the environment
              and whose decision ... is necessarily infused with the
18      Appalachian Power Co.  v. EPA. 477 F.2d 495 (4th Cir. 1973); Duquesne Light Co.
       v. EPA. 481 F.2d 1 (3rd Cir.  1973); Buckeye Power. Inc. v. EPA. 481  F.2d 162
       (6th Cir.  1973); Anaconda Co. v. Ruckelshaus. 482 F.2d 1301 (10th Cir. 1973).

19      See RCRA §§4003, 4007.

20      5 U.S.C. §558(c).

21      Environmental Defense Fund v. EPA (DDT). 489 F.2d 1247 (D.C. Cir.  1973)
       (suspension and cancellation of pesticide); Wyoming v. Hathaway. 525 F.2d 66 (10th
       Cir. 1975) (suspension and cancellation of pesticides); Maryland v. Train. 415 F.
       Supp.  116 (D. Md. 1976) (ocean-dumping permit); Environmental Defense Fund  v.
       Blum. 458 F. Supp. 650 (D.D.C. 1978) (emergency exemption of a pesticide).

22      See. Wyoming v. Hathaway, supra.

                            This document has been retyped from the original.

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                                         -6-

              environmental consideration so pertinent to Congress in
              designing the statutory framework of NEPA.  To require a
              "statement", in addition to a decision setting forth the same
              considerations, would be a legalism carried to the extreme.

478 F.2d at 650, n. 130.  In Portland Cement the court held that EPA was exempt because
"... [wjhat is decisive, ultimately, is the reality that, Section 111 of the Clean Air Act,
properly construed, requires the functional equivalent of an environmental impact statement."
486 F.2d at 384.

       The threshold test for environmental consideration is very low.  For instance, EPA
has been held  exempt from NEPA where the statute required the Administrator to determine
that the action was "essential to the public  interest or the public health and welfare. "23  The
Administrator's action in cancelling the registration of pesticides is  similarly exempt from
NEPA.24 The criteria for cancellation is whether the use of the cancelled pesticide
"generally causes unreasonable adverse effects on the environment" although FIFRA also
requires a study of the economic impacts of cancellation.25 Much the  same type of
regulatory language is used in RCRA.  For instance, the standards of  performance for the
handling of hazardous waste must be such  "as may be necessary to  protect human health and
the environment." RCRA §§3002 - 3004.  Permits for hazardous wastes must insure
compliance with the standards in Section 3004; they therefore  must protect human health and
the environment. RCRA §3005(c).  The objective of Subtitle  D is  "to assist in  developing
and encouraging methods for the disposal of solid  waste which are environmentally sound
...." RCRA §4001.  Similar considerations apply to other regulatory actions under RCRA.

       Because the basis for exemption from NEPA is that the statute requires consideration
of the adverse impact of the proposed action on the environment, I  conclude that all
regulatory actions under RCRA are exempt from the NEPA requirement to prepare separate
environmental impact statements.  However, in the documentation for actions taken by your
office, you should indicate any consideration of environmental impacts or alternative courses
of action.
23      International Harvester Co.  v. Ruckelshaus. supra.
         /
24      Environmental Defense Fund v. EPA,  supra; Wyoming v. Hathaway, supra.

25      FIFRA §6(b).

                            This document has been retyped from the original.

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                                            9522.1983(02)
MEMORANDUM

SUBJECT:  Definition of  "Major  Handlers"  of Hazardous  iiaste
           Lee M. Thonas    i.sTgr.s?/. Uce ft. Thomas
           Acting Assistant ArtirlnistlTStor" for
            Solid waste  and  Krargency Response

TO:        Prograr Irj-lcrentation  Guidance  Adcressees


ISSU5

     what  definition will trovtdo consistency in the  designation
by £PA and authorized States  of  "irajor handlers" of hazardous
waste?

DISCUSSION

     Compliance with the 40 CFR  Parts 270  and 271 requires  certain
hazardous wa«t« handlers to be designated  as "icajor."  This desig-
nation is  intended  to identify,  for administrative purposes, environ-
rentally significant hazardous waste handlers and to  be used in
coocontrating inspection, permitting, and  reporting resources  on
those handlers»

     The original definition  of  a "rajor handler" of  hazardous
waste, which was the subject  of  PIG-82-2 (Hay 14, 1982), was based
on information available to  the  Aqency at the tire, including  our
experience with ifreinent hazard  and Super fund sites.   It was a
first step in fro*iding  a uniform, nationally consistent stanaard
to identify rajor handlers to serve as a focus  for limited  RCRA
resources.  As more data have becoire available,  it Mas becore
evident that changes and clarifications to the  existing definition
would rake it more  useful in  the  implementation of RCRA. That
revision is identified below.

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                              - 2 -

     The suites and EPA Regional Offices should jointly develop
updated list* oil designated "rajor handlers" based on this
revised definition.  The lists will be used by authorized States
and  the Regions for progras implementation, budget decisions,
inspections,, reporting, and permit overview.  The increased
attention which must b« directed to these facilities is resource
intensive.  Thus, the resulting lists of major handlers will be
considered in the budget planning process for allocations of
resources.  The effective implementation date for this definition
is October 1, 1984.  The Regions and the States will develop
lists of rajor handlers on the basis of this definition during
FY 1984 for use in PY 1985.

DECISION

     The following hazardous waste handling activities are to
be designated as 'major's

     I.  All facilities subject to ground-**ater iron i tor ing
         and/or protection requirements

    II.  All incinerators

   III.  Up to 10% of retraining TSDP's

    IV.  Up to 3% of generators and transporters

Percentages are to be based on the nuafter of known handlers in
HWDMS as of October 1, 1983.  EPA or the State pay add facilities,
generators or transporters to the list, subject to the 10% and 3%
ceilings, and shall notify the other party in writing.  However,
tne deletion of any facility, generator or transporter mist be
agreed to in writing by both parties.  The list will be- reviewed
and renegotiated at least annually..

     Reporting requirements in 40 CFR 270.5 or in the annual
RCRA Guidance which refer to major handlers apply to the above
designated list. Those Mjor handlers which cor prise categories
I,II, and III nr» designated as major facilities for EPA permit
overview.

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                                                             9522.1984(01)


                   RCRA/SUPERFUND HOTLINE SUMMARY
An interim status container  storage  facility has a surface impoundment
without interim status.   The surface impoundment is used for storage
of storawater run-oc'f  frcra the  facility and parking lot.  The sludge
that has accumulated in  the  impoundment has becone EP toxic due to
lead.  Can the surface impoundment qualify for interim status since it
was in existence on Novencer 19,  1980,  and is now generating a hazardous
waste?  Does this impoundment meet the  definition of "existing portion'?

     According to the  November  19, 1980, Federal Register, page 76633,
     a facility that determined on August 18, 1980, that its solid waste
     was not hazardous may retest that  waste after November 19, 1980
     and discover that the waste  now exhibits a Subpart C characteristic.
     If the facility files Part A of the permit application within 30
     days of discovering that the waste is now hazardous, the facility
     should qualify for  interim status.  In this case, the facility
     could revise its  Part A to include the surface impoundment.  The
     impoundment meets the intent of "existing portion" and does not
     need a liner since  the  impoundment was in existence for waste
     management before November 19,  1980, and has received hazardous
     waste pr ior^ to jeijaif issuance.
                   rce:    Fred Lincsey, Debbie Vtolpe, OSW

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                                                                    9522.1984(02)
             RCRA/SUPERFUND HOTLINE  MONTHLY  SUMMARY

                                 MAY 84
A Part B applicant: has an "existing" storage surface impoundment with a liner.
According to 270.2(b)(l) and 264.221(a),  "existing" surface  impoundments are not
required to install liners but are required to  conform with  all other design
and operating requirements in 264.221,  as well  as the ground water protection
requirements.  Must the applicant describe the  liner in the  Part 3 application?

     The applicant' is not required to describe  the liner in  the applica'.ion.
     E?A, however, recommends that the applicant  include Such information
     1n their Part B.

     Source:    Art Day
     Research:  Gordon Davidson

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                                                        9522.1984(03)

                              JUL 1984

 HgMORANDCH


 SOBJECTt  Issuance of RCRA Permits to Facility Owners and Operators

 PROMi     John Skinner
          Director, Office of Solid Waste (WH-563)

 TOi       Regional Division Directors, Regions I-X -  "*•• ..•   •      •


     This Office continues to learn of RCRA permits being issued
 only to facility operators in those instances where the facility
 operator and the facility owner are different people*  Section
 270.l(c) requires that "owners and operators of hasardous waste
 management units must have permits during the active life (includ-
 ing closure) of the facility....*  In addition, 1270.10(5)
 requires the operator to apply for the permit mnd the owner to
 sign the application along with the operator when the facility
 operator and owner are different persons (see |270.10(b)).

~~   Please ensure in the future that all RCRA permits are issued
 to both the owner and operator of the facility in those cases
 where the facility Is owned by one person and operated by another.
 WH-563:CMiller:sed:S243:382-4692:7/23/84:Disk  Chaz 4  13

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                                             9522.1984(04)
                        OCT i  13m                                     -

                                                                      n
                                                                     •  I
F?.OMi      Brurfl R. Keddle            '•
           Director, Pemits and State
                      Division  (VH-563)
TO:        Jan«« Scarborough, Chief
           Residuals'Management Branch, Region IV


     This neraorandua"is in response to your recent  Inquiry
concerning the neid .for the Regional Administrator's signature
on tne transmission of consents resulting  froa EPA18 review of
draft Sthte FC71A permits.  As you pointed  out, 40 CFR 271.19 and
271.134 provide that '(tine •Regional Administrator «ay cocreent
on the permit applications and draft peraits as provided in -the
Hertorandua of Agreement...* (oophaais added].  You  also correctly
noted, tnat this authority has not Deen formally delegated to any
other EPA official) i.e., it is not .specifically addressed in
EPA'a Delegations Manual.    ...    .   .

     Ho have consulted with the Office of  General .Counsel and
concluded that it is not necessary to amend EPA'e Delegations
Manual to provide a foraal, explicit redelegation of this
authority.  Sufficient authority exists within EPA's regulations
to allow another EPA official to sign conaonts resulting fron
CPA'a review of draft State permits.  For  the explicit purposes
of 40 CFR Parts 270, 271 and 124, section  270.2 defines the tern
Regional Administrator to include "the authorized representative
of the Regional Administrator. - We suggest that you ask your
Regional Administrator to designate in writing either the Air and
waste Management Division Director or yourself, as  appropriate,
as his authorized representative foe transaittal of SPA'S coranents
resulting t'ron draft perwit reviews. .-

     If you hove any further questions on  this issue, please feel
frse to contact Truett CeGeara at (FTS) 382-2210.

cc:  Hazardous Waste Management Division Directors,
       Pegionn I - X
     F»tsr •*3U'tf*,'-*ro, OSW
     GSil Cooper, OSrf
     Susan Scbt;uG9; OSW
SUBJECT:   SPA aoviow of Draft State PCRA Penalts                     '» £

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                                                               9522.1985(01)
            UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                        WASHINGTON, D.C. 20460



                            FEB i: £?5


MEMORANDUM                                              PIG-85-1
                                                         OFFICE OF
                                                SOLID WASTE AND EMERGENCY RESPONSE
SUBJECT:  Assignment of a Memorandum  to  the  Program
          Implementation Guidance  System

FROM:     John  Skinner, Director
          Office of Solid Waste  (WH-

TO:       Program  Implementation Guidance  System Addressees

     On January 25, 1985, the  Offices of Water  Enforcement
and Permits, Drinking Water, Federal  Activities, and  Solid
Waste issued the attached memorandum  to  Regional Administrators.
The memorandum  identifies the  appropriate  signatories for
Department of Defense permit applications.   I  think  that the
guidance contained in this memorandum is of  such value as to
warrant wider distribution and incorporation into our system of
Program Implementation Guidance.   For future reference and ease
in filing, I have designated this  memorandum as Program Implemen-
tation Guidance number *>'-< •

Attachment

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                UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                              WASHINGTON. D.C. 20460
                                    JAN 2 5 1985
MEMORANDUM
SUBJECT:  Signatories to Department of Defense Permit Applications
FROM:     Rebecca
          Office"*f Wate/ Enrcifent and Permits (EN-335)
          Office of DrinMXg Water (WH-550)
          Allan Hirsch, Director
          Office of Federal
          John H. Skinner, Director
          Office of Solid Waste (WH
TO:       Regional Administrators
          Regions I-X

Purpose
     This memorandum identifies Mho must sign Department of Defense (DoD)  permit
applications for four permit programs:
o National Pollutant Discharge Elimination System (NPDES), 40 CFR Part 122
o Underground Injection Conrol (UIC), 40 CFR Part 144
o State Dredge or Fill  "404" (404), 40 CFR Part 233
o Hazardous Waste Management (HWH), 40 CFR Part 270
Exception
     Government-Owned Contractor-Operated (GOCO) facilities that require permits
under any of the four permit programs listed above are not covered since they
present significantly-different Issues than Mere considered during the development
of this guidance.

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                                       -2-


Development

     This document' has been developed in conjunction with staff of DoD and  the
four permit programs  involved.  Attachment A contains the regulatory language
for corporate and  Federal signatories to permit applications.  Attachment B
contains a discussion of the criteria used to develop this guidance.

Background

     In compliance with a settlement agreement arising from litigation of the
Consolidated Permit Regulations,  EPA modified corporate signatory requirements
and established requirements for  Federal agencies under the NPDES, UIC, State
404, and HWM permit programs (48  FR 39611, September 1, 1983; §§122.22, 144.32,
233.6, 270.11).  In the preamble  to the September 1 rule, EPA gave two examples
of how the signatory  regulations  were to be applied to Federal agencies.  In
essence, the proper signatory level for Federal permit applicants is that compar-
able to EPA's Regional Administrator.

     However, because DoD has no  geographical division of responsibility that
parallels EPA's Regional Administrators, the EPA Regional Offices are not clear
who they should accept as a proper DoD signatory.  The confusion is compounded
because DoD lines  of  authority and responsibility for the management and budgeting
o^ environmental activities are complex and difficult to follow.  This problem
first surfaced in  regard to several permits in the HWM permit program, but  applies
to the four permit programs.

Issue Resolution

     The acceptable signatory for DoD permit applications is the Installation
Commander of a rank of 06 or higher, if the installation employs more than 250
persons and authority to sign permit applications has been assigned or delegated
to the Installation Commander in  accordance with applicable DoD procedures.
If an Installation Commander does not meet these requirements, the permit appli-
cation must be signed by a superior officer who meets the requirements.

     In addition,  where a tenant  is present on the installation and has authority
or responsibility  for any aspect  of the regulated activity, the Tenant Commander
(rank of 06 or higher) must also  sign the application.  The Tenant Commander
must also employ more than 250 persons and have been assigned or delegated authority
to sign permit applications 1n accordance with applicable DoD procedures.  Again,
if the Tenant Commander does not  meet these requirements, the permit application
must be signed by  a superior officer meeting the requirements.

     Nothing in this  guidance precludes applicable delegated States from requir-
ing signatories to DoD permit applications to conform to more stringent State
requirements.

Implementation

     EPA Responsibilities:

     EPA will inform  each of Its  Rec*™*1 CiVice1-- ?nd applicaL.1* delegated States
of this guidance.

     Permit authorities will keep both the m .ification of changes in  personnel
and the DoD directive discussed below  in  the  appropriate permit file.

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                                       -3-
     DoO Responsibilities:

     DoD will Inform all Installation Commanders and Tenant Commanders conducting
regulated activities of their responsibilities under this guidance.

     In some situations, DoD has allowed low level officials to sign the permit
applications for existing permits.  DoD will notify the permit authority of the
appropriate personnel, as identified in this guidance, to ensure that the proper
signatories are included in the existing permit file.

     Since 1n the past, the authority and responsibility for all activities
required during the conduct of regulated DoD facilities (e.g., planning, manage-
ment, budget, and compliance activities) has been unclear, DoD will develop the
appropriate delegation procedures to Implement this guidance.  This guidance
will clarify the responsible party or parties for conducting regulated activities.
DoD will furnish this delegation directive to the permit authority 1n order that
it may be appended to the permit file.  DoD will delegate the authority and
responsibility to sign permit applications in accordance with DoD procedures
prior to future permit Issuance.

     In addition, for any replacement of personnel at the Installation Commander
or Tenant Commander level during the term of the permit. DoD will notifv the
permit authority of the change and furnish the name of the new person(s) respon-
sible for the regulated activities.


Attachments

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                                   ATTACHMENT A

Corporate Signatory Language

40 CFR §§122.22(a)(l). 144.32(a)(l), 233.6(«)(1), 270.11(a)(l) reads:

"For a corporation:  by a responsible corporate officer.  For the purposes  of
this section, a responsible corporate officer means: (i) A president,  secretary,
treasurer, or vice-president of the corporation in charge of a principal  business
function, or any other person trfio performs similar policy- or decision-making
functions for the corporation, or (ii) the manager of one or more manufacturing,
production, or operating facilities employing more than 25C persons  or having
gross annual sales or expenditures exceeding $25 million (in second-quarter 1980
dollars), if authority to sign documents has been assigned or delegated to  the
manager in accordance with corporate procedures."
Federal Signatory Language

40 CFR §§122.22(a)(3), 144.32(a)(3), 233.6(a}(3), 270.11(a)(3) reads:
"For a municipality. State, Federal, or other public agency:  by either a  principal
executive officer or ranking elected official.  For purposes of this section,  a
principal executive officer of a Federal agency includes: (1) The chief executive
officer of the agency, or (11) a senior executive officer having responsibility
for the overall operations of a principal geographic unit of the agency (e.g.,
Regional Administrators of EPA)."

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                                   ATTACHMENT B

             SIGNATORIES TO DEPARTMENT OF DEFENSE PERMIT APPLICATIONS

Discussion

     The Department  of Defense  (DoD) is headed by the Secretary of Defense, a
Cabinet level appointment.  Reporting directly to the Secretary are the Secretaries
of the three Military Departments (Army, Navy and Air Force).  The Military
Departments are organized into  varying numbers of Major Commands that are functional
alignments rather than geographical  divisions.  Subordinate to the Major Commands
are the Installation Commanders.; the numbers of installations in each Major
Command vary widely.  In the DoD chain-of-command, the Installation Commander is
responsible to one Major Command.  Each Installation Commander is expected to
establish the necessary organizational  structure to fulfill the Major Command's
function (i.e., training, air defense, etc.).

     Also reporting directly to the Secretary of Defense are the Directors of
the 12 Defense Agencies.  The Defense Agencies have varying management structures
— some geographical and some functional.  Defense Agencies do not have independent
installations; rather, Defense  Agencies' activities are tenants on installations
operated by the Military Departments.

     Since the heads of the Military Departments, the Defense Agencies and the
Major Commands are centrally located within the Pentagon, they are not directly
responsible for the  Implementation of systems necessary to gather complete and
accurate permit application information.  In addition, the Major Commands are
far removed from the operation  and management of day-to-day environmental activities
on individual installations.

     Generally, the  Installation Commander holds a rank of 06, which is a Colonel
(Army and Air Force) or a Captain (Navy).  The Installation Commander is responsible
for operating pollution control facilities on the installation.  He is also
responsible for planning and for anticipating the need for new pollution abatement
projects.  However, some installations have tenants that share responsibility
for pollution control.  One example is the Defense Logistics Agency (DLA) that
shares responsibility for the handling and storage of DoD hazardous wastes with
the Installation Commander.  The budgets for both the Installation Commander and
Tenant Commander(s) are subject to approval from their major commands, their
Military Departments and eventually the Congress.

     DoD installations usually  cover hundreds of acres and provide complete
support for thousands of civilian and military personnel and military families
living on the Installation.  The Installation Commander oversees, controls and
manages complete communities that consist of such things as housing, stores, gas
stations, utilities, waste treatment facilities, dining halls, fire and  police
departments, warehouses, motor  pools, runways and hospitals.

     A review of the organization of DoD indicates that the  Installation Commander
fulfills the literal requirement of the signatory regulation promulgated on
September 1, 1983.   Defense Installations are the principal geographic unit of
DoD and the Installation Commander has responsibility "or  ^ts ov. .-:V operation.
However, sirr
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                                                                   9522.1985(02)
             RCRA/SUPERFUND/OUST HOTLINE MONTHLY REPORT QUESTION
                                      MARCH 1985
Part B Application

3   A facility's  Part B permit application 1s due after a Federal Register
    announcement  of  a final rule affecting the facility's hazardous waste
    management activities but prior to the effective date of  the  final rule.  Is
    the permit applicant required to address applicable sections  of the new final
    rule in the Part B permit application?


         Since the  new final  rule 1s not effective  when  the  initial Part B
         application 1s due,  the permit  applicant 1s not  required to address
         the  new ffnal  rule provisions 1n the  Initial  Part B application.
         However, all 'permits Issued must reflect all  applicable Part 264
         requirements  in effect  on the date  of Issuance.  Therefore, 1n most
         cases, if the  new final  rule will be 1n effect prior to permit Issuance,
         the  initial Part  B application  should be modified to reflect the new
         rule.  If the  new final  rule will become effective shortly after permit
         Issuance,  the  applicant  may still want to  address the requirements of
         the new  rule in the  Part  B  application rather than go through a permit
         modification at a  later  date.

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                                               9522.1985(04)
            UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                        WASHINGTON, D.C. 20460
                            AU630B85
MEMORANDUM


SUBJECT:  Partial Permitting
                                                         OFFICE OF        _
                                                SOLID WASTE AND EMERGENCY RESPONSE
FROM:     John H.  Skinner
          Director, Office  if  Solid Waste  (WH-562)

TO:       Harry  Seraydarian"^
          Director, Toxics  and Waste Management Division


     In your memorandum  of  May 9  (attached) you requested our
response to your proposal for permitting of a new incinerator unit
at the Dow Chemical plant in Pittsburg, California.  Outlined
below is a discussion of that proposal and our recommendations
regarding issuance of a  separate  permit.

     We agree with your  conclusion that issuance of a new
incinerator permit for the  facility which  is to be phasing out
its land disposal units  is  consistent with EPA's policy of encour-
aging treatment  alternatives to land-based waste disposal methods.
As you know, however, any such permit must address corrective
action for releases from all solid waste management units at the
facility as required by  new section 3004(u) of RCRA.  You proposed
that the preliminary assessment,  site investigation and/or corrective
action for those land disposal units be addressed through a schedule
of compliance in a permit which could be issued for construction
of the new incinerator,  but which would not otherwise cover the land
disposal units at the facility.

     The existing land disposal units at the facility are also
regulated units  as defined  in  $264.90(a).  As discussed in the
preamble to the  HSWA final  codification rule, (see discussion of
§3005(i)) regulated units are  subject to existing standards under
Subpart P of Part 265 and Part 264 for gathering information on
releases to ground water.   Permit schedules of compliance for
information gathering — as provided for in §3004 (u) for solid
waste management units — cannot  be used for investigating ground
water releases from regulated units.  Consequently, the proposed
approach which you have  suggested for permitting this facility does
not appear to be workable.

     We can, however, suggest an  alternative approach which would
cxped'*-" the issuance of the permit to the incinera«--~r- unit by
addi.\*««^ng any releases  '^^  ground <••**• it- JtXXfi r.ne -^yuxated units in
separate penults.

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                               -2-


     Section 3005(i), as amended by HSWA, reaffirmed that ground
water releases from regulated units are subject to existing RCRA
regulations.  This regulatory scheme encompasses not only the
substantive cleanup requirements in Part 264 Subpart F, but also
the procedural permitting requirements in Part 270, and the
provision for partial permitting in 40 CFR 270.1(c)(4) in par-
ticular.  We could, therefore, issue a partial permit covering
the new incinerator unit, all releases to media other than ground
water from the regulated unit, and all releases from non-regulated
units.  A permit issued separately to the regulated units would
address any needed ground water corrective action in accordance
with Subpart F of Part 264.

     We believe this approach is fully consistent with the
basic objectives of sections 3004(u) and 3005{i).  If you have
any further questions on this issue, please call Peter Guerrero,
Chief, Permits Branch at 382-4740.
Attachment
cc:  Regional Hazardous Waste Management Division Directors
     Regional Hazardous Waste Branch Chiefs

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    C 8 MAY 198|
Multiple RCRA Permits  «t  A Single  Facility
Original Signed
Harry Seraydarlan
Director*  Toxics and Waste  Kanageoent  Division, Region 9

John B. Skinner
Director,  Office of Solid Haste  (WH-562)
Issuei

     Are the Regions precluded  by  statute, regulation or policy
froa issuing wore than one  RCRA perclt  at a single hazardous
waste nanageaent facility?   In  particular, «ay we issue a
perftit for a new incinerator at an existing land disposal
facility, deferring until a later  date  the issuance of a permit
for the land disposal units?

background!

     Although the subject of issuing  several permits at one
•facility* has been discussed in the  past with your staff, to
our knowledge no official policy postion was ever taken.  In
1982, wnen only tank and container facilities could be percltted,
we had several discussions  with Headquarters staff which led to
our understanding that we could begin to process pereits for
tank/container units at facilities wnich also had land disposal
or incinerator units.  Since we felt  that this could ultimately
lead to a duplication of effort, we never followed this course
of action.  By virtue of having only  Phase II A authorization,
California has proceeded with issuance  of tank/container peraits
at sites also conducting lane disposal.

     In a few recent cases, we  have been presented with
circumstances wjiich cause as to recxacine our policy ot going
through the pernit process  only once  at each facility.  When
your btaff has been presented with the  issues, we have received
conflicting advice.

     Perhaps tfte best exauple ot the  situation we have in mina
is the Dow Chemical plant in Plttsburg, California.  Dow has
existing tank/container, inciner&tor, and surface impoundment
units operating under interim status.  In response to our
request, Dow submitted a Part a permit  for its existing units.
Due to complex ground water Issues at the facility and trial
burn requirenentc, we do not expect early issuance of a perc.it
tor the Dow interim status  units.
365B - T-2-2/H'iis>cr ^rr.-e:  b/^5/85

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                             -2-
     Recently *• received • permit application frost Dow for a
new waste  incinerator at the Pittsburg plant.  The unit IB part
of Dov's efforts to  upgrade its vast* management practices and
discontinue land disposal both on-site and off-site.  Tbe new
unit* because of its large cost, can not be constructed under
interim status„ and  Bust receive a RCRA permit before comaenee-
men t of construction.  We are persuaded that expedited issuance
of a RCRA  permit fur the nev unit would be environmentally
responsible, for the following reasons.


     1. It would be.consistent with CPA's policy of
        encouraging  high technology waste disposal as an
        alternative  to land disposal.

     2. Although the .incinerator would only dispose of
        wastes generated at Pittsburg ano a few other seall
        Dow facilities, any reduction in the aaount of waste
        going to land disposal is an advance.

     3. Tbe installation of the incinerator (and additional
        on-site treatment facilities) la required for Dow to
        close its surface lapoundaonts.  Due to the lengthy
        lead tiae required for Incinerator construction, the
        surface impoundment closure will be d«layeo if the
        incinerator  is not peneitted.
Recommended Actiont

     The passage of the KSn'A has clearly led to coaplications
in the issuance of multiple permits at a single facility.
Since tne statute now requires that we Address all releases
fros> Solid Waste Management Units  (SViMUs) in all RCRA percits,
we must deal with this provision.  In Oow*e case, the existieng
Hazardous uaete nanage&ent Units (HKKUs) are, of course, al&o
SWhUa.

     fc> propose the following course of action at Dow and other
facilities with similar circuawtancea.

     1. 'Fast-tiradcing* the permitting of new, higher
        technology units by adoresoing the* ir. a single-unit
        permit*

     2. Addressing corrective actions at SWMJs (including
        BWMU6) through perr.it conditions that require the
        continuation of preliminary assessment, site
        investigation, ano/or corrective action in general
        r.gryj.  The conditions will include a compliance
        «crteouly for coapl^tion ^' tne ne*t prase of  the
        corretlve ae.ion ^r'-ceas, depending on its st»*"'*  •?.?
        of tne time of permit iacuanci.

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                             -3-
     3* Continuation of interia status for other unite at
        ta« facility until p«ruit issues can ot resolved.

     4. Major notification of tne permit to incorporate all
        otner unite ac the facility.  At thic tune, the
        corrective action provisions would b« updated.

Requested Action

     Your review of our recommended course of action is
requested.  Unlesa we receive objections within thirty (30)
days* we will assume that you have none, and w« will proceed
•b outlined above. '

     we also request that in developinq regulations to codify
the KSHA, you consider tne circumstances above, and allot
anoquate £lexiability tor the Regions to proceed with approval
ot new ni
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                                             9522.1985(05)
                            DEC 1 3 1985
Mr. Eliot Cooper
Manager
Environmental Affair*
Haste-Tech Services* Inc.
445 Union, Suite 223
Lakewood, Colorado 80228

Dear Mr. Cooperi

     This letter confirms the information that was provided to
you in our December 3, 1985, meeting regarding the RCRA permitting
issues which were raised in your letter of October 21, 1985.
In that correspondence you presented three RCRA per a it issues
regarding on-site treatment by fluidlsed bed incineration and your
interpretation* of those issues.  Our response to those issues are
as follows!

Issue It  "Waste-Tech Services will own and operate the incinerator
on the leased property of the generator.  Waste-Tech Services will
b« applying for all environmental permits to be issued to Waste-
Tech Services.'

Answert   Undor 40 CfR 1270.10, both the owner and the operator
of the facility must sign the RCRA permit and are subject to the
conditions of the regulation.  Although Waste-Tech Services will
be the owner and operator of the hazardous waste incinerator, it
is not tho sole owner or operator of the facility under RCRA.  A
•facility" is defined under 1260.10 as "...all contiguous land,
and structures, other appurtenances, and improvements on the land,
used for treating, storing, or disposing of hazardous waste."
Therefore, the generator's property (including property leased
to Waste-Tech Services for the unit) will be considered the
"facility" under Subtitle C of RCRA ($260.10) and the generator,
as owner of the land, and Waste-Tech Services, as the operator
of the incineration unit, must sign the permit for the incinerator.
As a matter of general policy, the owner or operator of the
facility will includes the owner of the land, the owner of the
structures («.g., the incinerator unit) and the operator of the
facility or unit (45 £R 33169, May 19, 1980).  The ownership
status of tho property for purposes of RCRA permit signatory
requirements will be determined based on State and Federal laws
         .:or«n» eit aqjeg*nnt hejfcwecn the parties.

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                               -2-


of the Issue of who is the "owner" of the facility is provided
in the Regulation Interpretation Memorandum which was published
in 45 PR 74489, November 10, 1980.  A copy of that memorandum la
enclosed.

Issue 2i  "Wasto-Tech Service's incineration facility will be
located on the generator's property leased to Waste-Tech Services.
Waste will never cross any public highway or leave the generator's
property.  Therefore, manifesting of the waste transferred from
the generator to Waste-Tech Services will not be required.*

Answert   The iusue, as stated, is correct.  Or-site treatment of
hazardous waste is excluded from the manifest requirements in
§260.10.

Issue 31  "Waste-Tech Services will be incinerating waste materials
on-site at a generator's facility.  Waste-Tech Services contract-
ual relationship with the generator requires that the generator
assume all responsibility for the proper treatment and disposal
of incinerator residuals, including bed material, aah, and scrubber
waste water sludge."

     "Since the generator already has inplace • closure plan
that accounts for all the wastes that are generated on site,
and assumes responsibility for all residuals resulting from
incineration of their waste, Waste-Tech Services closure plan
will only address the costs necessary to decontaminate our equip-
ment and enaure that our leased site has not been contaminated."

Answeri   Issue 3 is directly related to the issue of permit
signatories which Is discussed under Issue 1.  Since both Waste-
Tech Services and the owner of the property must sign the permit,
they will be jointly and severally responsible for all RCRA
requirements which include, but are not limited to* the treatment,
storage^, and disposal of residue resulting from incineration,
since the residue is a hasardous waste (S261.3), and the removal of
incinerator residue, from the Incinerator site for closure of the
unit ($264.351).

     The generator and Waste-Tech Services may use a contractual
agreement to determine who prepares the permit application and
who carries out the conditions of the permit (e.g., performance
of closure plan).  This agreement, however* does not eliminate
liability incurred by either the owner or the operator of the
facility.  Although the contract may provide for a division of
responsibility and liability, EPA may, if necessary, bring
enforcement actions against all responsible parties involved
US ?R 531S3V May \9, 19*0).

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                               -3-
     In conversations that you have had with members of my staff
you have indicated that you are considering using fluidised bed
Incinerators for no bile treatment of haiardous waste.  I would
like to point out that my Division is presently conducting a study
to develop procedures for facilitating the permitting of mobile
treatment unitti and invite you to discuss any additional issues
on this subject with Nancy Pomerleau at 202/382-4500.  Technical
questions about the RCRA incinerator requirements should be
addressed to Robin Anderson at 202/382-4498.

                               Sincerely,
                               Bruce R. Waddle
                               Director
                               Permits and State Programs Division

Enclosures t
PR Notice, November 10, 1980, 40 CPR Part 122
Summary of meeting with Waste-Tech Services on December 3,  1985

cci  Peter Guerrero
     Art Glater
     Robin Anderson
     Nancy Pomerleau
     Carrie Wo hi ing (LE-132S)
     Hazardous Waste Branch Chiefs, Regions Z-X

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 UNITED STATES ENVIRONMENTAL PROTECTION AGENCY                     9522.1985(06;

 DEC 28 1985

 Mr. Kevin Rookstool
 Environmental Chemist
 Mineral By-Products, Inc.
 27? Regency Ridge Drive
' Suite 120
 Dayton, Ohio 47464

 Dear Mr. Rookstool:


 Thank you for your letter of August 12, 1985, proposing
 an alternative permitting process that will reduce the time for
 granting a permit for small quantity hazardous waste treaters.

 Under the Resource Conservation and Resourcy Act (RCRA) the
 Environmental Protection Agency (EPA) is responsible for regulating
 the management of hazardous wastes in the United States.   In
 order to accomplish this task several guidelines and procedures
 has been established to monitor and regulate the treatment,
 storage and disposal of hazardous waste throughout the U.S.A.
 Our major responsibility under RCRA is to protect the human health
 and the environment from pollutants contained in hazardous wastes.
 Because of this we must assure effective treatment of the wastes
 through the submission of the data required in a Part B permit
 application.

 The use of lime,  pozzolanics,  cement,  fly ash,  etc.  does  not
 by the very nature of the process  assures adequate treatment of
 the waste.   It  is because of this  that a Part B permit application
 is required for small or large scale hazardous waste treaters.

 While  your suggestion has many attractive features  it does
 not appear to provide the adequate assurance that Congress desired
 for treatment of  hazardous wastes.   Therefore,  EPA  can not justify
 such modified permit  procedures at .this time.
Thank  you  for your interest  and  suggestions.

Sincerely  yours,
Juan A.  Baez-Martinez
Chemical Engineer
Treatment,  Recycling and Reduction
  Program

RCRA Permit  Policy Compendium Documents
                     This has been retyped from the original document.

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This Page Intentionally Left Blank

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                                                     9522.1986(01)


Mr. Ronald D. Conte
Operations Coordinator
Petroswill Chemicals, Inc.
2523 Hogadore Road
Akron, Ohio  44312

Dear Mr. Conte:

     I am responding to your  letter of June  27,  1986, which
requested clarification of the definition  of several terms in 40
CFR 270.2.

     The terms "holding" and  "temporary period"  are  not
explicitly defined in the RCRA regulations.   Holding in context
of these regulations means containment.  Storage, as defined in
RCRA means "the containment of hazardous waste,  either on a
temporary basis or for a period of years,  in such a manner as not
to constitute disposal of such hazardous waste."  The term
disposal (the opposite of storage or containment) is defined in
RCRA (and in the RCRA regulations) as "the discharge,... leaking,
or placing of any waste into  or on any land...so that
such...waste...may enter the  environment."   The  types of
"holding" devices (i.e. containers, tanks, surface impoundments,
and waste piles)  are defined  in the regulations.

     The term "temporary period", although not explicitly
defined, is indirectly limited in the regulations by the closure
plan and financial responsibility requirements.  These require
the facility owner/operator to specify up  front  the operating
period (closure time) and the maximum amount of waste in storage
at any time and at closure.  This defines the extent of the
"temporary period" and storage activity.  At closure, the waste
must be removed from all storage units.

     All hazardous waste storage units, including storage units
at recycling facilities, are regulated by the RCRA rules unless
exempted in Part 261, 264, or 265.  Items associated with storage
units that are used to transfer hazardous waste, such as pipes,
funnels or hoses, are regulated as part of the storage unit.
        This document has be-^n .retyped from the original.

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                               -2-

     I understand that you recently met with staff in EPA's
Region V to discuss these definitions as well as the
applicability of the requirements in 40 CFR Parts 264, 265 and
270 to your facility.  Since implementation of our regulations is
the responsibility of our Regional offices I urge you to continue
working with Region V.  However,  if you need additional help
please feel free to contact me.

                                   Sincerely,
                                   Marcia Williams, Director
                                   Office of Solid Waste
cc:  Y.J. Kim, Region V
     Lisa Pierard, Region V
        This document has been retypeo from the original.

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                                                                     9522.1986(02A)

                  RCRA/SUPERFUND HOTLIHE MONTHLY SUMMARY

                                   OCTOBER 86
6. Post-Closure  Permits

   A storage and disposal facility has  a  surface  impoundment.  The  facility stopped
   receiving waste  on January  25,  1983.   However,  the  facility did  not get
   certification of closure until  September 10, 1984.   Is  this facility required
   to have a post-closure permit?

        Yes; Permits covering  the  post-closure care  period are currently required
        for all  disposal units that close after January 26,  1983  (§270.l(c)).
        Units are closed once  certification of closure is  received  not when the
        unit stops  receiving waste.  50 FR 28712  n.  14 (July 15,  1985).

        Section  3005(i)  of RCRA, which  was added  in  the 1984 amendments requires
        that any landfill, surface impoundment, land treatment unit, or waste-
        pile unit which  qualifies  for the authorization to operate  under interim
        status and  which receives  hazardous waste after July 26,  1982 must meet
        applicable  permit standards concerning groundwater monitoring, unsaturated
        zone monitoring, and corrective action under Section 3004.

        In order to bring §270.1  permitting requirements in  line  with RCRA
        Section  3005(i), EPA proposed on  March 28, 1986 to amend  its regulation
        generally to ensure that  all landfills, surface impoundments, waste piles
        and land treatment units  that received waste after July  26, 1982 will be
        reviewed for conpliance with tfie  permitting  standards for groundwater
        monitoring, unsaturated zone monitoring,  and corrective  action.  EPA's  pre-
        ferred alternative for conducting this review  is the issuance of a  post-
        closure  permit.

        Source:   Matt Hale (202)  382-4740
        Research: Carla  Rellergert

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           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY     9522.1986(03)
                       WASHINGTON, D.C. 204(0
                                                       OFFICE OF
                             MTV  ?0 IOQR       *OUD WASTE AND EMERGENCY RESPONSE
MEMORANDUM


SUBJECT:  Applicability of Post-Closure Permit Requirements

FROM:     Marcia Williams, Director
          Office of Solid Waste

TO:       David Wagoner, Director
          Waste Management Division, Region VII


     In your memorandum of October 30, 1986, you requested clari-
fication as to the applicability of post-closure permit requirements
to the Armco Steel facility in Kansas City, Missouri.  Based on our
understanding of the facts of this particular situation, we offer
the following guidance.

     The basic question posed by Armco is whether or not their
facility requires a post-closure permit under current regulations,
based on the facility's having ceased receiving hazardous wastes
at their landfill on January 25, 1983, and having certified closure
of the landfill in September 1984.  Armco's interpretation that the
facility is not required to obtain a post-closure permit, based on
the fact that waste was not received after the January 26, 1983
effective date, is incorrect.  The requirement to obtain a post-
closure permit [§270.l(c)] is tied to the date on which the unit
is closed.  The concept of "closure" in this context is discussed
in the preamble to the July 15, 1985 Final Codification Rule, as
follows:

     "...closure...does not mean simply ceasing to place waste in a
     unit.  Closure, as a regulatory concept under these rules, is
     a proceeding during which EPA determines, after public review,
     that the facility has an adequate closure plan and that the
     facility implements that plan.  Thus closure is not complete
     under the hazardous waste regulations until a certification
     of closure has been given under 40 CFR 265.115."   (50 FR 28712
     n. 14)

     Clearly, since the Armco landfill did not certify closure until
after January 26, 1983, the facility is required to obtain a post-
closure permit.

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                               -2-


     The language in the preamble to the proposed codification
rule (51 PR 10715),  which is cited by Armco as supporting its
contention that the  facility is not subject to a poet-closure
permit, has been misinterpreted.  This preamble discussion, parts
of which are quoted  in Armco's letter of June 11, 1986, explains
the §3005(1) provision of RCRA, and the proposed approach for
codifying it.  As explained in the preamble, the applicability of
post-closure permits is tied to the date of closure of regulated
units [$270.1(c)L  while the applicability of Subpart F require-
ments is tied to the date of last receipt of hazardous wastes
[§264.90(a)]«  The March 28 proposed rule would have created a
consistent test for applying post-closure permits and Subpart F
requirements; i.e.,  receipt of wastes after July 26, 1982.  It
should be understood that the March 28 proposed rule would thus
have changed the test for post-closure permit applicability from
the current requirements.  Mote that under either situation, the
Armco facility would be subject to the poet-closure permit require-
ment, since wastes were received after July 26, 1982.

     Because post-closure permit requirements are explicitly
spelled out in the July 15, 1985 rule and elsewhere, we do not
believe it i» necessary at this point to publish a Federal Register
notice clarifying these requirements.  However, we will address
the question specifically in the rule finalizing the March 23
proposal.  In addition, we are sending a copy of this memorandum
to RCRA Branch and Section Chiefs in the other regions.

     If you have any further questions,  please contact George Faison
at FTS 382-4422.

ccs  RCRA Branch Chiefs, Regions I-X
     RCRA Permit Section Chiefs, Regions I-X

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                                                 9522.1987(02)
       RCRA/SUPERFUND HOTLINE MONTHLY  SUMMARY

                    DECEMBER 87
j.    Mixture Rule - Discharges to Wastewater

     Incidental spills,  onto a cement slab, from the normal
     handling or transfer of  virgin  solvent  into cleaning
     tanks,   are  collected  ;n  an  underlying  sump.   The
     contents  of  the  sump   are  at   times  diluted  and
     eventually   discharged   to   an   on-site  wastewater
     treatment system meeting the  exemptions  under  40 CFR
     §264.Kg) )6) ,   §265 .1 ( c ) ( 10 ) ,  and  §270 . 1  ( v ) and
     regulated under §402  of  the  Clean  Water  Act.   The
     cleaning operation  is at  a manufacturing  site.  Will
     the  wastewater  qualify  for  the  §261.3(a><2)
     mixture rule "de minimis losses" exemption?

      Ves,  although  the  material  spilled  is   not  a
      chemical intermediate used in a production  process
      or a raw material used in a production process,  ir.
      is a  discarded commercial  chemical  product  which
      has been  spilled during  normal material  handling
      operations at a manufacturing site and is disposed
      of  via   drainage  to  the  wastewater  treatment
      process.  The  amount  of  material  would  not be
      counted against  the 1  to 25  ppm exclusion level
      for  spent  solvents  mixed  with  wastewater (see
      footnote 37,   46 FR 56587, November 17, 1981).   In
      this case, what is being discarded is not  a spent
      solvent, but an unused commercial product and will
      meet the  requirements  of  §261.3(a)<2>(iv)(D) de
      minimis losses.

 Source:    Mike Petruska      (202) 382-4765
            Matt Straus        (202) 475-8551
 Research:  Craig Campoell

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            RCRA/SUPERFUND HOTLINE MONTHLY SUMMARY       9522.1988(01)

                          FEBRUARY  88
3.    Clean Closure of  Interim Status Surface  Impoundment and  Waste
     Pile

     A waste   pile and  surface impoundment,   both interim  status,
     were clean closed in 1985  per  Section   265.228   and  Section
     265.258.  Closure was certified as per Section 265.115.   Will
     the  waste pile and surface impoundment   site require  ground-
     water monitoring?

          According to the December 1, 1987,  Codification Rule (52
          FR 45788), owners/operators of  surface impoundments and
          waste piles   that received waste after  July  26, 1982,  or
          certified closure  after  January   26,   1983,   must  have
          post-closure  permits  unless  they demonstrate that the
          "clean  closure"  met   Part   264    standards  (Section
          270.l(c)).

          Sections 270.1(c)(5)  and (6) outline the procedures for
          determining  if the closure met Part 264 standards (i.e.,
          equivalency   determination).    If  equivalency  is shown,
          then the surface impoundment and waste  pile  will  not  be
          required  to  have  a  post-closure  permit.   If, on the
          other hand,  the Agency decides equivalency  was not  met,
          a  post  closure  permit  will  be   required.   The  post
          closure permit would have to address  applicable Part 264
          Ground-water monitoring,  unsaturated   zone monitoring
          corrective action and post-closure  care requirements.

          These requirements  also  apply  to  landfills  and  land
          treatment units.

     Source:   Sharon  Prey    (202) 475-6725
     Research: Cheryl  McNabb

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                                                        9527.1987(02)
  AUG 3  1987
Mr. Die Olsen, Sale* Manager
Fenton Company, Inc.
1608 N. Beckley
Lancaster, Texas  75134

Dear Mr. Olaent

     Thank you for your letter of June 30, 1987, in which
you requested information on the regulatory status of sludge
dehydration equipment which is part of a wastewater treatment
facility.

     Your  understanding of the requirements contained in
40 Ct'R 270.l(c) (2) (v) is correct.  Sludge dehydration equipment
that in part of a wastewater treatnent system is excluded froa
the need to obtain a RCRA permit provided the equipment meets
the definition of wastewater treatment unit as defined in.
40 CFR 2b0.10, and actually is used to evaporate water from
the sludge.

     It is important to note that the exclusion provided by
$270.1(c)(2)(v) does not apply to conventional incinerators.
Such devices are subject to Subpart 0 of Parts 264 or 265 even
when part  of a wastewater systea.

     I oust caution you that various States hafe requireaents
that are different from the Federal standards.  Under their own
authorities, States can establish requireaents that are acre
stringent  than the Federal requireaents.  In this instance, the
owner or operator is required to comply with the nore restrictive
requirements.  Thus, I encourage you to contact an appropriate
State official to determine what the requirements will be for a
specific unit.

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      If you have any further questions regarding the Federal
 requirements, please contact Mary Cunningham of my staff at
 (202) 332-7935.

                                         Sincerely,
                                         Marcia E. Williaas
                                         Director
                                         Office of Solid Waste
 cc:  Mary Cunningham
      Steven Silvennan, Esq.

bcc:  R. Holloway
      B. v;eddle
      S. Hudzinski
      R. Dellinger
      M. hale
      G. Garland
      L>. Ferla

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               UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

                           WASHINGTON. D.C. 20460

                              MAR  7 1988

                                                      9522.1988 (02)


                                                           OFFICE OF
                                                  SOLID WASTE AND EMERGENCY RESPONSE
Mr. Die Olsen
General Operations Manager
Fenton Company,  Inc.
JL608 'North Beckley
           Texas  75134
Deer Mr. Olses:
    Your understanding of the requirements in 40 CFR 270.l(c) (2) (v)
is correct.  Sludge  dehydration  equipment is excluded from the
Environmental Protection Agency's (EPA's) hazardous waste regu-
lations provided the equipment meets  the definition of wastewater
treatment unit as  defined in 40  CFR 260.10 and actually is used to
evaporate water  from the sludge.   The definition of wastewater
treatment unit includes the  requirement that the device meets the
definition of a  tank.   We believe that most sludge dryers do meet
the definition of  tank.   One such example would be a sludge dryer
integrally equipped  with a feed  hopper that contains and accumu-
lates waste.  It is,  however,  important to note that the exclusion
provided by §270,l(c)(2)(v)  does not  apply to conventional incin-
erators.  Such devices are subject to Subpart O of Parts 264 or 265
even when part of  a  wastewater treatment system.

    As we have discussed in  recent telephone conversations, there
is soae confusion  regarding  the  regulatory status of direct-fired
dryers.  While direct-fired  dryers may meet the current definition
of incinerator, 1TA  did not  intend to regulate dryers as incinera-
tors.  As we have  discussed,  EPA is developing a Federal Register
notice -that vill clarify the regulatory status of sludge dryers and
propose to revise  the definition of incinerator to exclude sludge
dryers specifically.   We are also proposing a new definition for
sludge dryers that would cover both direct and indirect-fired
units.

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    This proposal, soon to be published in the Federal Register.
will clarify that all sludge dryers meeting the criteria in 40 CFR
270.l(c)(2) (v) are eligible for the vastewater treatment exclusion
provided the equipment meets the definition of vastevater treatment
unit in 40  CFR 260.10.  Sludge dryers not eligible for the vaste-
vater treatment exclusion, including direct and indirect-fired
units, vould have to comply vith the interim status standards of
Subpart P of Part 265 or the permit standards of Subpart X of Part
264 (52 FR  46946, December 10, 1987).

    If I can be of further assistance, please don't hesitate to
contact ate  at <202}382-7S35.

                                     Sincerely,
                                     Mary Cunningham
                                     Chemical Engineer
                                     Waste Treatment Branch
cc: Joe Carra
    Dave Bussard
    Bob Dellinger
    Bob Hollovay
    Sonya stelmacX
    Steve Silverman
    RCRA Hotline
    Incinerator Permit Writers1 Workgroup

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                                                          9522.1988(03

                  •° S?Am C™«ON*ENTAL PROTECT.^ ACeMCY
                         APR 2 8 1988
MEMORANDUM

SUBJECT:  Review of Shell Oil's Wood River Manufacturing
          Complex - Minimum Technological Requirements
          Waiver Petition, Section 3004(o)(2)

FROM:     James Michael, Chief
          Land Disposal PAT Section  (WH-563)

TO:       Kevin J. Moss
          RCRA Permitting Branch, IL Unit
          Region V


    In response to your March 18, 1988 memorandum, the Land
Disposal Permit Assistance Team  (PAT) has completed its review.
of the petition submitted by Shell Oil for  its Wood River
Manufacturing Complex for a modification of  the minimum
technological requirements (MTR) under Section 3004(o)(2) of
RCRA.

    Our review indicates that the alternative design and
operating practices as presented by  Shell Oil, together with
location characteristics will not prevent the migration of
hazardous constituents into the ground water or surface water as
effectively as the double liner and  leachate collection system
outlined in Section 3004(o)(1)(A)(i) of RCRA.

    Shell Oil has argued that the impoundment for which it  is
seeking the waiver is situated within a larger, engineered
ground-water management system beneath the  entire Wood  River
Manufacturing Complex that prevents  the migration of
contaminant* beyond the property boundary.   Essentially   the
engineej|mjk«ystem consists of an on-site well field that  creates
a copa-^^tdiiipreasion to contain and  collect any hydrocarbon
product^Xafcees and soluble contaminants emanating from  the
bottom or* the impoundment.  The waiver petition attempts  to
provide a detailed description of the ground-water  flow pattern
and demonstrate that the well  field  will  indeed provide
effective containment.

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                               -2-
     Section  3004(o)(2) authorizes a waiver of the double  liner
 and  leachate collection system requirements only upon a
 demonstration that a proposed alternative will "prevent  the
 migration  of any hazardous constituent into the ground water  or
 surface  water" at least as effectively as a double liner  and
 leachate collection system.  Shell Oil's proposal, however,
 specifically allows migration of hazardous constituents  into  the
 ground water.  The terra "ground water" in Section 3004 (o) (2)  is
 not  qualified by the phrase "beyond the property boundary".   Nor
 is there any evidence of Congressional intent that the term
 "ground  water" means only ground water beyond the property
 boundary.  Surely if Congress had intended such a test for
 waivers  of the double liner and leachate collection system
 requirement,  it would have stated so clearly.  To the contrary,
 in amending  Section 3004 of RCRA, Congress devised a threefold
 scheme to ensure protection of human health and the environment
 for  hazardous waste treatment, storage and disposal activities.

     The  first  "line of defense" is the requirement of a  liner
 and  leachate collection system to prevent the escape of
 hazardous constituents from landfills or surface impoundments.
 The  second "line of defense" is the requirement for ground-water
 monitoring to detect any failure of such containment device.
 The  third "line of defense" ia the requirement to take
 corrective action to clean up any problems resulting from such
 failure.  Containment with collection and removal of leachate
 within the unit to prevent leakage to ground water, as the
 intended purpose of the liner and leachate collection system
 requirement,  is supported both by the language of Section
 3004(o) (2) in authorizing waivers of such requirements only for
methods  equally effective at preventing migration t£ ground
 water , and by the language of Section 3004(o)(5) (B).  That
 section  provides that the liner requirements of Section
 3004(o)(1)(A)(i) can be satisfied pending issuance of
 regulations  by construction of a liner system "  .  .  .to prevent
 the migration of any constituent through such liner.  . ."  Any
 system,  therefore, that only controls constituent migration
 after it enters ground water cannot meet the equivalency test of
 Section  30B4(o)(2).

    The  situation outlined by Shell Oil in its petition fully
allows migration of hazardous constituents to the ground water
beneath  th«  unit and therefore does not prevent  the  migration of
hazardous conotituents "into the ground water."  Moreover,
because  migration of hazardous constituents  freely  occurs with
 respect  to such ground water, the Shell Oil  control  scenario
cannot be "as effective as" a double  liner and  leachate
collection system in preventing migration  to  the ground water.

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                               -3-
    We are, therefore, unable to conclude that the proposed
alternative would be as effective as the liner and leachate
collection system requirement in preventing migration of
hazardous constitutents into the ground water.  Should you have
questions regarding the content of our response please contact
Chris Rhyne at FTS 382-4692.

cc:  Bruce Weddle
     Suzanne Rudzinski
     Chris Rhyne
     Karl Bremer, Region V

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                                              9522.1988(04)
               UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                          WASHINGTON. D.C. 20480
                                                            OFFICE OF
                                                   SOLID WASTE AND EMERGENCY RESPQNS
Mr. Ronald T. Taritas
Environmental Technology  Corporation
1124 Morse Avenue
Schaumburg,  IL  60193

Dear Mr. Taritas:

    This is  in response to  your  letter  of September  19,  1988  in
which you raise several questions  about permit  requirements as
they relate  to on-site treatment and wastewater treatment  unit
exemptions.

    Under Subtitle  C of the Resource Conservation and  Recovery
Act (RCRA),  the scope of  the RCRA  permit requirements  are
detailed in  40 CFR  Section  270.l(c).  A RCRA permit  is required
for treatment, storage, or  disposal  of  any hazardous waste.
Treatment, storage, or disposal  of hazardous wastes  are  defined
as hazardous waste  activities in 40  CFR Section 260.10.

    Specific exclusions to  the RCRA  permit requirements  are
found in 40  CFR Section 270.1(c)(2).  Generators that
accumulate hazardous waste  on-site in compliance with  40 CFP
Section 262.34 are  exempt from the reauirement  to obtain a RCRA
permit, as specified in 40  CFR Section  270.l(c)(2)(i).  The
Agency currently interprets this regulatory exemption  from
permitting to cover storage and  treatment activities in  a
generator's  accumulation  tanks or  containers.  The reasoning
behind this  policy  can be found  in Office of Solid Waste (OSW)
memoranda dated June 17,  1986 and  December 15,  1987  (copies
enclosed), and preamble language in  51  FR 10168, March 24,
1986.

    As I understand your  letter, you are interested  in applying
the on-site  treatment exemption  for  generators  to the ribbon
blender unit that stabilizes the listed F006 sludge, and
possibly to  the filter press, as well.   It is important  that
you understand that this  response  is only dealing with a
theoretical  situation since the  final determination as to
whether and  which RCRA regulations apply is facility-specific
and, thus, must be  made by  the appropriate ETV.  S«r^-'onal  Office
or authorized State-  In  che *•'':-.j.uwA,.^ discussion. I wiiA
with your C  >vc ra'cot'o A and  B separately.

-------
                               -2-
Generator A

    Your description of Generator A did not include enough
detail to determine which RCRA regulations are applicable.  One
possibility is to assume that every unit at the facility meets
the definition of a wastewater treatment unit per 40 CFR
Section 260.10.  If this is the case,  the on-site treatment
exemption for generators is not relevant since Part 264
standards (i.e., Subpart J — Tank Systems) and Part 270 permit
requirements do not apply to owners and operators of wastewater
treatment units, in accordance with 40 CFR Sections 264. Kg) (6)
and 270 . 1 ( c) (2 ) ( v) , respectively.

    For the above assumption to be correct, however, Generator
A's wastewater treatment plant must be subject to regulation
under either Section 402 or 307(b) of  the Clean Water Act.  In
addition, each unit at the facility must either treat or store
hazardous wastewater or hazardous wastewater treatment sludge
(listed waste F006) and each unit on-site must meet the
definition of a tank in 40 CFR Section 260.10.  If material
entering the filter press from the wastewater treatment plant
is identified as a wastewater, rather  than a wastewater
treatment sludge (listed waste F006),  the wastewater must
exhibit a characteristic of a hazardous waste, such as EP
toxicity for lead, cadmium, or chromium, to be identified as a
hazardous wastewater.   The Agency defines wastewaters as wastes
that contain less than 1% total organic carbon and less than 1%
total suspended solids (i.e., total filterable solids).
See 53 FR 31145, August 17, 1988.

    Another possibility is to assume that Generator A's
facility is not subject to regulation  under either Section 402
or 307(b) of the Clean Water Act.  If  this is the case, no
units on-site are eligible for the wastewater treatment unit
exemption.  All units not meeting the  definition of a
wastewater treatment unit could be regulated as generator
accumulation tanks or containers, depending on when the
wastewater is identified as a hazardous waste.  If the
wastewater can be identified as a hazardous waste at its  point
of generation, the 90-day accumulation time period begins when
the wastewater first enters the first  unit (90-day accumulation
tank or container) at the facility.  Shipment of the stabilized
(as specified in your letter) hazardous waste from the  ribbon
blender must take place within 90 days of  the begiT.i^q point
mentioned above.
            possibility is to assume that all units on-site can
L<= identified as wastewater treatment units except for either
the filter press or the ribbon blender.  This condition could
only exist if either the filter press or the ribbon blender
does not meet the definition of a tank (e.g., container)  in 40
CFR 260.10.  This scenario becomes much more complicated  and

-------
                               -3-
would best be answered by the appropriate EPA Regional Office
or authorized State based on the specific facility design and
operating parameters.

    In any case, all tanks or containers at the facility must
be in compliance with Subparts J or I, respectively, of Part
265 and Generator A must also comply with Subparts C and D of
Part 265, as well as Section 265.16, as specified in 40 CFR
Section 262.34.   In other words, Generator A must be in
compliance with all the time-frames and technical requirements
outlined above and detailed in Section 262.34 to utilize the
on-site treatment exemption for generators.

Generator B

    Based on the information provided in your letter, the
treatment of the listed waste K061 in the central accumulation
tank would not require a RCRA permit provided the following
conditions are met.  First, from the moment Generator B places
the K061 in the central accumulation tank, the K061 must be
shipped off-site within 90 days.  Second, the accumulation tank
must be in compliance with the technical standards for
hazardous waste tanks in Subpart J of Part 265.  Third,
Generator B must comply with Subpart C. Preparedness and
Prevention and Subpart D, Emergency Procedures, of Part 265.
Finally, all other regulatory requirements in 40 CFR Section
262.34 must be met by Generator B.

    I want to reiterate that the above discussion addresses a
theoretical situation.  Facility-specific determinations as to
the applicability and extent of regulation under RCRA must be
made by the appropriate EPA Regional Office or authorized
State.  As you know, an authorized State may have more
stringent regulations than those of the Federal government.

    If you have further questions or need additional
clarification, please contact Steve Cochran at  (202) 475-8551.

                                        Sincerely
                                             /u
                                        Sylvia  v   ^u^T=
                                        Oirtccor
                                        Office  of  Soi-d Waste

Enclosures

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                                              9522.1988105)
               UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                          WASHINGTON. D.C. 20460
 NOV  3 Q 1988
                                                            OFFICE OF
                                                    SOLID WASTE AND EMERGENCY RESPONS
Mr. Ronald B.L. Jones
Environmental Consulting
15 Hollow Road
Watertown, Connecticut  06795

Dear Mr. Jones:

    In your letter of October 24, 1988, you requested  information
on the December 1, 1987, Codification Rule  (FR 45798 and  45799),
as it applies to  interim status surface impoundments and  waste
piles that had "clean closed."  The following  information should
answer each of your specific questions.

o   The time period during which a RCRA Part B post-closure
    permit must be obtained for a unit that received hazardous
    waste after July 26, 1982 and has closed under  Part 265
    rules:

      The EPA Regional Office or the State Agency responsible
      for the Subtitle C program, if authorized  for this  aspect
      of the program, will request you to submit a  RCRA Part B
      permit application for these units.  This  is  done on a
      priority basis, with the units at facilities  that pose
      the greatest environmental risk being reviewed first.  An
      application for a post-closure permit must be submitted
      to the agency within 6 months of the request.

    The time period during which an owner or operator  of  a
    waste pile that "clean closed" under Part  265 may  petition
    the Regional  EPA Administrator for an equivalency  waiver
    to the Part 264 clean closure requirements:

      The procedures for such a petition are described in 40 CFR
      270.1(c)(6), a copy of which is enclosed.  The owner or
      operator who wishes to submit an equivalency  demonstration
      is urged .to do so before the Part B permit application  is
      requested,  since submitting this demonstration will not
      exempt the  owner/operator from having to  submit  the
      requested RCRA Part B post-closure permit  application.

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  Since processing an equivalency demonstration and
  reviewing the data submitted to support the demonstration
  may be-time consuming,  it may not be possible for the
  responsible agency to make a final determination on the
  petition during the six month period prior to the date
  that the permit application is due.  The owner or operator
  should not therefore await such a determination prior to
  initiating the required permit application when requested.

Does EPA have any guidance on equivalency demonstrations:
  At the present
  directive that
  expect from an
  to demonstrate
  requirements.
                     time, my staff is preparing a policy
                     will explain in more detail what we will
                     owner or operator who submits a petition
                     equivalency with Part 264 clean closure
                     I expect to have a completed policy
      directive by early January 1989.  When it is available,
      you can receive a copy by contacting the Regional EPA
      Waste Management Division office.

 o  How can I obtain a copy of the "Surface Impoundment Clean
    Closure Guidance Document":

      The draft document is under internal review at this time,
      Therefore, it is not available for public distribution.
      We will announce the availability of this guidance when
      it is completed in the Federal Register.

    I hope the above information has adequately answered your
questions.  If there is any further information that you may
need, please call Lea Otte of my staff at (202) 382-4654.

                                    Sincerely,
                                              Lowrance
                                              Solid Waste
                                Sylvia K.
                                Director
                                Office of

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                                                      05 ^-
 ,,eo sr,,,                                                 9522.1990(01
 cT     <-
      \        UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
       
-------
                              - 2 -

over all of the permit responsibilities, as discussed above.

     Finally, you asked about incorporating some of the interim
status operations at the site into the state permit.  We
recommend that if the state plans to add such operations to the
permit that it first take whatever action is necessary to give
the state administrative authority for the RCRA permit.  Then any
subsequent permit modification by the state will satisfy both the
state and Federal requirements.

     I hope that this response has addressed your concerns.
Please contact Wayne Roepe of my staff at 202-475-7245 if you
have further questions.
                                          —i        /,
                              Since_rely yours>     '•':

                               ''"'  W    '

                             ""-Sylvia/ K. Lowrarice', Director
                              Office of Solid Waste

cc:  Wayne Roepe, OSW
     Wayne Garfinkle, U.S. EPA Region 4

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                                                        9522.1992(01)
           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

                       WASHINGTON, D.C. 20460
                              6 i992
                                                       OFFICE OF
                                              SOLID WASTE AND EMERGENCY RESPONSE
Mr. Thomas 17. Corvine, P.E.
Colonial Pipeline Company
Lenox Towers
3390 Peachtree Road, N.B.
Atlanta, GA 30326

Dear Mr. Cerviiio:

     This  letter   is   in  response  to   your  August  9,   1991
correspondence requesting a clarification of the conditions under
which waste water  treatment units qualify for an exemption  from
RCRA permitting requirements.   In your letter you explained  that
Colonial Pipeline Company has several locations that generate waste
waters that are hazardous  under the toxicity characteristic, and
you  asked  whether  a RCRA permit would  be  required for  a new
treatment unit that you are considering.

     The primary reason for the waste water treatment  exemption  is
to avoid imposing duplicative requirements pursuant to both a NPDE8
permit and a RCRA permit for  the same  unit. As you are aware,  in
order for a unit to qualify for this  exemption contained in 40 CFR
§264. l(g) (6) , it
     (1)  Be  part  of  a  waste water  treatment facility  that  is
          subject to regulation under either Section 402 or 307 (b)
          of the Clean Water Act;

     (2)  Receive, treat, or store influent wastewater; or
          generate, accumulate, treat, or store a wastewater
          treatment sludge; and,

     (3)  Meet the definition of tank or tank system in 40 CFR
          §260.10.

     The main question that you raised concerns the first criteria;
i.e., which units  are considered  subject to the Clean Water Act.
As  you  are aware,  the Agency provided  some discussion  of this
requirement in 53 PR  34080 (September 2, 1988) which states that!

          "the wastewater treatment unit exemption is
          intended to cover only tank systems that are
          part of a wastewater treatment facility that

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           (1)  produces a treated vastewater effluent
          which is discharged into surface waters or
          into a POTW sever system and therefore is
          subject to the MPDES or pretreataent require-
          ments of the Clean Water Act, or (2) produces
          no treated vastewater effluent as a direct
          result of such requirements".

It is  important  to  note that it is not necessary  that the Clean
Water Act permits actually be issued for the units to be eligible
for  the  RCRA exemption;  it is sufficient  that the  facility  be
subject to the requirements of the Clean Water Act.

     Based  on ft  reviev  of the  information  provided/  EPA  has
determined  that   any  of  the  treatment  systems   (including  the
proposed treatment unit)  at  the Colonial Pipeline facilities vhich
are currently permitted, were ever permitted, or should  have been
permitted  under  NPDE8,  all  meet  the  first  test of  the  Section
264.1(g)(6)  exemption.   The key  issue is vhether  the treatment
system ever  had  a discharge to surface vater, and  thus vas ever
permitted  (or should have been permitted) under  NPDE8.   If there
vas  never a discharge  to   surface  vaters,  then  the  exemptionv
criteria  :?  not satisfied.   You also mentioned that some  of your
facilities employ vaste vater treatment systems vhich are regulated
in  accordance vith other   applicable state  lavs,  rules,  and
regulations.  Without  more  specific information regarding these
state requirements and permits, EPA cannot  address vhether these
facilities would  qualify for the exemption.  Hovever, as discussed
above, the exemption in  the federal  regulations  vould only  be
available  if the  state  requirements  stem  from the  identified
sections of the Clean Water Act.

     with regard to the question of a  "zero discharge" facility,
EPA vould  like to clarify the  difference  betveen a facility that
produces no  treated vastevater as a direct  result  of Clean Water
Act requirements  and units that are not required to obtain an NPDES
permit because they do not  discharge  treated effluent.    In  the
first case, the facility vould have had a surface vater discharge
at one time,  but has since eliminated the discharge  as a result of,
or by exceeding, NPDES or pretreatment requirements.  Such facility
vould qualify for the vaste  vater treatment unit exemption under
RCRA.  in the second case, the facility never had a surface vater
discharge, and therefore vas never subject to MPDES permitting or
T'.esn Water Act requirements (S3 FR 34080).  The RCRA exemption is
not  available  in these  cases.    (We  should point out that  the
language you referred to on Page 2 of the May 22, 1984 memo on zero
discharge has been further refined and  clarified by recent program
policies and interpretations.)

     There is another management option that  my  staff has discussed
vith you on the phone.   That approach vould be to treat your vaste
vater  in  tank  units   pursuant  to  the  generator  accumulation
exemption of 40 CFR §262.34.  This provision allows generators of
hazardous  wastes to  treat  or store  such  wastes  in tanks  or

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containers  for short  periods of  time  (i.e.,  90 days)  without
obtaining  a RCRA  permit,  provided  that all  the conditions  of
§262.34  are met,  including  compliance  with  specified tank  or
container  standards in  40  CFR  Part  265.    In  many  cases  air
strippers may  be  considered  tank  units  under RCRA and might be
eligible for this  exemption,   of course, as  long as  the treated
waste water meets a hazardous waste listing description or exhibits
a hazardous wasto  characteristic  it must  continue  to be managed as
a hazardous waste.

     If  you have  facility-specific  questions,  please  contact
individuals in the appropriate EPA Regional Offices.   For Region
III (Philadelphia), contact Ms. Susan Sciarratia at (215) 597-7259
and for Region  IV  (Atlanta),  contact Ms.  Beth Antley at  (404) 347-
3433.  Should you  have  further questions  about this letter, please
contact Glenn Strahs of my staff at (202) 260-4782.
                                                      rDrrector
                                          of Solid Waste
cc:  Kathy Nam, OGC
     EPA RCRA Branch Chiefs, Regions I-X
     Barbara Simcoe, A8T8WMO

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                                                          9522.1993(01)
                UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                          WASHINGTON. D.C.  20460
                                                         OFFICE OF
                                                SOLID WASTE AND EMERGENCY RESPONSE
                        MAR - 4 1993
Mr. Edward J. Ciechon, Jr.
Chief Counsel
Sun Company, Inc.
Ten Penn Center 1801 Market Street
Philadelphia, PA  19103-1699

Dear Mr. Ciechon:

     Thank you for your December 10,  1992,  letter requesting the
continuation of the existing Toxicity Characteristic (TC)
compliance date beyond January 25,  1993.  This  extension had been
given to facilities reinjecting produced ground water as part of
state-authorized cleanup activities.  After that  date,  if
hazardous waste is generated during site clean  up activities, the
reinjection operation can only be performed in  underground
injection wells that are permitted  under the RCRA regulations or
in the Class IV injection wells permitted under the  UIC program.
EPA requires that non-UST hydrocarbon recovery  operations not
meeting these two conditions but expecting  to continue
reinjection, must submit a RCRA Part  A permit application and
obtain interim status, within 30 days after the January 25,  1993
deadline (see 40 CFR 270.10(e)(1)(ii)).

     The Agency has been aware of the shut-down of some
reinjection operations since the expiration of  the TC compliance
date extension and we are considering alternatives.
                                   Sincerely,
                                   Sylvia/K.  Lbwrance,
                                   Director
                                   Office of  Solid Waste
                                                          Printed on Recycled Paper

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                                                         9522.1993(02)
              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                         WASHINGTON, D.C. 20460
                            APR 26 1993
                                                       OFFICE OF
                                              SOLID WASTE AMD EMERGENCY RESPONSE
Edmund W. Kelso, Jr.
Chief
FBI Bomb Data Center
Quantico, Virginia 22135

Dear Mr. Kelso:

     This is in response to your letter of March  3,  1993  to  Matt
Hale, in which you discussed the applicability of 40 CFR
270.1(c)(3) to immediate response activities relating to  the
removal, transportation and/or treatment of bombs or other
explosive devices.  Specifically, you asked for confirmation that
the bor.b removal activities would constitute an immediate
response to a discharge, or an imminent and substantial threat  of
a discharge, which are exempt from the RCRA permitting and other
substantive requirements.  In addition, you indicated that you
would like to develop an agreement that would permit the  public
safety bomb squads to safely perform their mission while
conforming to environmental standards.

     In EPA's view, bomb squad activities in response to  an
immediate, or imminent and substantial threat of  a discharge of
hazardous waste are pot required to have a RCRA permit.   These
would include the five activities you identify in your letter,  as
long as they were taken in response to an immediate  or imminent
threat:   (1) the response to a bombing and recovery  of
undetonated explosives or improvised explosive devices (lED's);
(2) the neutralization and/or rendering safe of an IED; (3)  the
service of a search warrant on an improvised bomb factory or
illegal explosives manufacturing facility; (4) the recovery  of
explosives illegally stored in a residential neighborhood; and,
(5) the recovery of deteriorated explosives unsafe for storage
anri transportation.

     The two interpretative letters you noted in  your letter
(S.K. Lowrance to Fred Smith) explain our current policy  in
addressing immediate response activities.  However,  the Agency
has developed other interpretative letters that better relate to
the bomb removal scenarios you provided.  They are enclosed  for
your information.  Take particular note of the letter to  the Law
Enforcement Department of the Bureau of Alcohol,  Tobacco,  and
Firearms.  It includes the scenarios of storage during analysis
and law enforcement proceedings.
                                                           Printed on flecycted Paper

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     Another important aspect for you to consider is the
regulation of your activities by States.  States can be
authorized by the USEPA to operate in lieu of and in a manner
which is consistent with and no less stringent than the Federal
RCRA program.  These criteria do not prevent the States from
operating a more stringent or broader-in-scope hazardous waste
program.  Therefore, you should consider appropriate State
standards for possible additional requirements.

     I believe the enclosed letters are a good starting point in
developing an agreement on the management of explosives by bomb
squads.  Matt Hale is available to meet with you and discuss in
more detail the Federal and State RCRA requirements per 40 CFR
270.1(c)(3).  He can be reached at (703) 306-8704.
                              Sincerely,
                                                  Director
                                     of Solid Waste
Enclosures

cc:  Matt Hale, PSPD, OSW
                              - 2 -

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             UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                         WASHINGTON. D.C. 20460


                            S:P 2 6  --•
                                                        OFFICE OF
                                               SOLID WASTE AND EMERGENCY RESPONSE
MEMORANDUM

SUBJECT:  Handling of Explosives by Law Enforcement Agencies
FROM:     Joseph S. Carra, Director
          Permits and State Program^ [)ivision  (OS-343)

TO:       Regional Hazardous Waste Branch Chiefs
          Regions I-X


    Attached for your information, is a copy of a recent  letter
to the Bureau of Alcohol, Tobacco, and Firearms  (BATF).   The
letter describes the Agency's guidance on handling of  explosives
that are an immediate safety threat, or secured for analysis and
possible use in law enforcement proceedings.

    Much of the guidance stated in the BATF letter has,  in  the
past, been informally communicated by phone to the Regions,
regulated community, and law enforcement agencies.  Since
inquiries continue in this area, I believe it prudent  to  share
this written guidance with you.  Please feel.free to provide it
to your States and encourage them to follow the same approach.
If you have any questions or would like to discuss the guidance,
please call Elizabeth Cotsworth (8-382-3132; or Chet Oszman
(5-382-4499).

Attachment

-c:  Regional Hazardous Waste Section Chiefs, Regions  T-X
     Susan Bromm, OWPE
     Frank McAlister, OSW
     x*tt Hale, OSW
     Tred Chanania, OGC
     ATSS staff
     I'.RS staff

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*              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                          WASHINGTON. O.C. 20460

   AUG  I 11983
                                                            O'riCf 0»
                                                   $OUO WA5TC AND EMI HGENCV MS*C
   Mr.  Phillip C.  McGuire
   Associate Director,  Lav Enforcement
   Department of  the Treasury
   Bureau  of Alcohol, Tobacco,  and Firearms
   Washington, DC 20226

   Dear Mr.  McGuire:

       This  letter is in response to the  issues raised recently by
   the  Bureau of  Alcohol, Tobacco, and  Firearms (BATF) with respect
   to compliance  with the Resource Conservation and Recovery Act
   (RCRA) .   Specifically,., your  staff has  requested EPA guidance for
   two  situations:   (1) when a  BATF agent ia called to a location
   where there is an immediate  safety threat, and (2)  when
   explosives or  explosive related materials that do not present an
   immediate safety threat are  stored in  BATT secured lockers for
   analysis  and possible use in lav enforcement proceedings.

       The guidance given below for these tvo situations is based on
   the  federal RCRA program as  administered  by EPA pursuant to 40
   CFR  Parts 260-271.  In authorized States  (which are 43 in
   number),  EPA has delegated the hazardous  vaste program to the
   States  pursuant to statutory provisions in RCRA.  Although each
   authorized State program Bust be consistent with and  at least as
   stringent as tne Federal program, a  Stat:* is free to  be more
   stringent.   Hence, any guidance given  belov must be followed up
   by a BATF analysis of any different  provisions that an authorized
   State may have chosen to enact.
   1.  ExplQflivaa  Thati Praaent an Jqpnadiat,^ Safety Threat.

      According to our discussions,  this scenario involves
   identification  by a trained BATF agent of explosives that create
   an  immediate) safety threat, removal of those explosives fro* the
   original  location to a safe area (often a local lav enforcement
   agency's  botib disposal sitt or a nearby military installation).
   and immediate destruction, normally by detonation or open
   burning.

      Under current RCRA regulations (40 CFR Sections 264.1tqnii.
   265. He) (1X1) , and 270.1(c)(3)),  all activities taken in

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                               - 2 -
 immediate response to a discharge of hazardous waste,  or an
 imminent and substantial threat of discharge of a hazardous
 waste, are exempt from the RCRA permitting and substantive
 requirements,  since the explosives in question would  be
 hazardous by virtue of their reactivity and ignitability, any
 BATF actions taJcen to eliminate the imminent and substantial
 danger would qualify under this exemption,  if the response
 actions involve transportation to a remote site for destruction
 then the transportation as well as the destruction would be
 exempt.  However, the transportation is exempt only to the extent
 necessary to respond to the immediate threat.  Hence,  we expect
 the transportation would normally cover a relatively short
 distance.

    Should there be any question about the exempt or nonexempt
 status of the BAIT action, the RCRA emergency permit regulations
 (Section 270.61) can be used for destruction activities.  As
 these regulations provide, an emergency RCRA permit can be Issued
by an SPA Regional Office or by an authorized State official via
telephono or in writing.  These permits may be issued  when the
Region or State finds that an imminent and substantial
endangerment to human health or the environment exists, according
to the requirements of Section 270.61.  This permit can address
both treatment and storage of hazardous waste.  (Under RCRA, open
detonation or burning of explosives waste qualifies as thermal
treatment.)  If necessary, transportation can also be  authorized
by a provisional identification number, obtainable by  telephone.
To reiterate, however, no permit is necessary when a BATF agent
determines that an immediate safety threat exists.

 2.  Exploaivaa Material Storay* Purina Analysis and Law
    Enforcement Proceedings

    When a hazardous material (such as explosives and certain
types of explosives-related material) is discarded, it becomes a
hazardous wast* and therefore subject to RCRA.  Although the
situation Buy vary, we believe that explosives and explosive
material become waste when the court  (or BATT) no longer has any
use for then (i.e., when no longer needed for evidence,  referred
 co as •judicial forfeiture* by your staff in our discussions).
When explosives are stored pending judicial proceedings, they are
not subject to the hazardous waste regulations.  However, when
they are to be discarded, they become waste.  At that point, RCRA
 requirements pertaining to waste generation, transportation, and
treatment, storage, and disposal (40 CFR Parts 260-271)  become
applicable.

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                               - 3 -
    Under 40.CFR Section 262.11, generators of solid waste must
determine if their wastes are hazardous.   "Generator" is  defined
by person and by site.  Thus, for example, each of your storage
locker areas would be a generator site.   Except for generators
who meet the conditional exemption in Section 261.5, generators
of hazardous waste are subject to all applicable Sections of Part
262.  [In tho case where a BATF field office generates less than
100 kilograms (kg) per month, Section 261.5 allows the disposal
of the explosive waste at a permitted or interim status hazardous
waste facility, or at a facility permitted, licensed or
registered by a State to manage municipal or industrial solid
waste.]  Among other requirements, generators of hazardous waste
must have EPA ID numbers (40 CFR Section 262.12).  Each BATF
field office must apply for an EPA 10 number for each site at
which hazardous waste is generated in excess of 100 kilograms per
calendar ?wn»h.  This.is a simple process involving the suboittal
of one short fona for each generator site.  These xorms can be
obtained from EPA Regional Offices or we at Headquarters  will be
glad to supply them to you.

    We note that, under 40 CFR Section 262.34, hazardous  waste
may be stored in tanks or containers without a permit for up to
90 days.  So, even after a material becomes a waste (i.e., an
intent to discard is present), the generator has 90 days  to make
necessary arrangements for transportation, treatment, or
disposal, according to applicable regulations in 40 CFR Section
262.34, and Parts 264, 265, 266, 268, and 270.  As a general
matter, we believe the Bureau should consider a policy that would
require removal of explosive material stored in BATF lockers
within 90 days from the time the material becomes a waste.
Otherwise, RCRA storage permits may be required.

    BATF may transport hazardous waste explosives themselves, or
may hire a transporter.  In either case, the transportation is
subject to the requirements in 40 CFR Parts 262 and 263.
Transportation of hazardous waste off the site of generation  is
subject to MJiUest requirements (40 CFR Section 262.20).  The
generator Bout designate on the manifest a facility that  has  the
proper B£Kft permit or interim status to receive the waste.

    In general, destruction of explosive waste by open
detonation/open burning is thermal treatment that must b«
conducted at a RCRA interim status or permitted facility  in
compliance with Parts 264, 265, and 270.  In the event that the
destruction is being done under court ordtr or under directions
from the U.S. Attorney's office, RCRA is not automatically
waived.  Tn« Bureau should therefore locate facilities nearest
its field offices that have the appropriate RCRA permits  or

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                               - 4 -
interim status for open detonation/open burning of explosives
wastes.  Some of the military facilities already used by the
Bureau may have the necessary permits or interim status, and
these facilities may accept BAIT explosives wastes, under the
terms of their permit or under the provisions of Part 270,
Subpart G, without any special permission from EPA.    Other
facilities with RCRA permits or interim status could handle the
open detonation/open burning of BAIT explosive materials via
permit modifications (Section 270.41-270.42) or changes during
interim status (Section 270.72).  In those cases where a permit
modification or change during interim status is needed by a
facility that agrees to manage BATF wastes, these must be
approved by the appropriate State agency (or EPA Regional office)
in advance of the initial receipt of the BATF wastes.

    Finally, we understand that stored explosives material
sometimes deteriorates to the point where a safety hazard
exists.  In this type of situation, the discussion on emergency
response activities in Section 1., above, would apply.

    I trust that this letter provides you with guidance helpful
to the Bureau's efforts to comply with RCRA requirements.  I
understand that my staff has provided BATF with a list of
facilities that may have the appropriate permits or interim
status and a list of EPA Regional contacts for your field
offices.  If you need additional assistance, please do not
hesitate to call me or have your staff call Michael Petrusfca
(475-9888).
                                  Sincerely
                                                      Director
                                            solid waste

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UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
           WASHINGTON, D.C. 20460
              NDV-3B92
         OFFICE OF
SOLID WASTE AND EMERGENCY RESPONSE
Mark Hansen
Facilities Manager
Corporate Office
Environmental Products
 & Services, Inc.
P.O. Box 315
Syracuse, NY 13209-0315

Dear Mr. Hansen:

     Thank you for your letter of September 28, 1992 in which you
ask about the transportation and disposal of shock sensitive or
explosive mater_r.lc.  Specifically, you requested EPA guidance on
how to handle materials like picric acid and ethyl ether while
removing old laboratory chemicals.

     Under EPA's RCRA regulations (40 CFR 270.l(c)(3)), all
activities taken in immediate response to a discharge of
hazardous waste, or an imminent and substantial threat of
discharge of a hazardous waste, are exempt from the RCRA
permitting and substantive requirements.  Since the chemicals in
question vould be hazardous by virtue of their reactivity, any
actions you take to eliminate the imminent and substantial danger
would qualify under this exemption.  If the response action
involves transportation to a remote site for destruction, then
the transportation as well as the destruction would be exempt.
However, the transportation is exempt only to the extent
necessary to respond to the immediate threat.  Hence, we expect
the transportation would normally cover a relatively short
distance and would occur in special transportation equipment such
as bomb trailers.

    .Should ,there be any question about the exempt or non-exempt
status of removing a certain chemical, the RCRA emergency permit
regulations (40 CFR 270.61) can be used for destruction
activities.  As these regulations provide, an emergency RCRA
pern it can be issued by an EPA Regional Office or by an
authorized State official via telephone or in writing.   These
permits may be issued when the Region or State finds that an
imminent and substantial endangerment to human health or the
environment exists, according to the requirements of 40 CFR
270.61.  This permit can address both treatment and storage of
hazardous waste.  If necessary, transportation can be authorized
at the same time the emergency permit is authorized by obtaining
a provisional identification number.  To reiterate,  however, no
permit is necessary when the safety official determines that an
immediate safety threat exists.

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     The guidance given above is based on the Federal RCRA
program as administered by EPA pursuant to 40 CFR Parts 260-271.
In authorized States, EPA has delegated the responsibilities of
the hazardous waste program.  Although each authorized State
program must be consistent with and no less stringent than the
Federal program, a State is free to be more stringent (e.g., some
States may not offer emergency permits).  In the end, you should
check with the authorized State where your facility is located to
ensure that there are no additional (more stringent) management
standards.

     I trust that this letter provides you with guidance helpful
to your efforts to remove old lab chemicals.  If you need
additional assistance, please call Chester Oszman of my staff at
(202) 260-4499.
                              Sincerely,
                                                  Director
                              Office of Solid Waste
cc:  Chester Oszman, OSW
     Ken Gigliello, OWPE
     RCRA Permit Section Chiefs, Regions I-X

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9523 - PERMITTING
APPLICATIONS
Part 270 Subpart B
                   ATKl/l 104/57 kp

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           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

                      WASHINGTON, D.C. 20460
                                                 9523.00-11
                          DEC 10
                                              SOLID WASTE AHO EMERGENCY
MEMORANDUM



SUBJECT:

FROM:



TO:
Denial of RCRA Operating Pemii

Marcia Williams, Director
Office of Solid Waste
Hazardous Waste Division Directors
Regions I-X
     A number of Regions have raised the question of whether they
can deny a permit for the active life of a facility, while
deferring a final decision on post-closure conditions.  The
concern of these Regions is that, once a permit application has
been denied, a post-closure parmit can no longer be required.

     Although EPA's permitting regulations envision only one
approval or denial decision on a permit application, they do not
prohibit the permitting authority fron dividing this decision
into two parts,  one applying to the active life of the facility
and the other to the post-closure period.  Consequently,  EPA or
an authorized State (unless it has more stringent requirements)
may deny the active portion of a permit application, pending a
decision on post-closure conditions.  After denial of the operating
portion, the facility would be required to cease receiving
hazardous waste and begin closure.

     If a Region or an authorized State adopts this approach with
respect to a particular facility it should make it clear in its
tentative decision that it is denying the permit only with respect
to the active life of the facility and that the facility is
still required to obtain a post-closure permit.  We recommend
that you include the following information in the Notice of
Intent to Deny with respect to such a facility.

     The tentative decision to deny the permit application runs
     to the active life of the facility only.  The permit denial
     will not. affect the requirement that the owner or operator
     obtain a permit covering the applicable post-closure care
     period with respect to the hazardous waste management units
     for which the permit is denied, in accordance with 40 CFR
     170.l(c).

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                               -2-
A comparable statement should be included* in the final notice of
denial..

     We will also be proposing to anerid §270.l(c) of the permitting
regulations to clarify EPA's authority to divide permit decisions
in this v*y.  The proposal is scheduled for publication in February
Before this clarification is issued, you should include the
statement cited above in any Notices of Intent to Deny.

     If you have any questions on this issue, please contact Matt
Hale of the OSW Permits Branch.

cc:  RCRA Branch Chief,  Regions I-X
     Bruce Weddle,  OSW
     Matt Kale, OSW
     Carrie Wehling, OGC

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            UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                        WASHINGTON. D.C. 20460
                       MAR 30
MEMORANDUM
                                                OSWER POLICY DIRECTIVE
                                                No. 9523.00-12
                                                        OFFICE OP
                                               SOLID WASTE AND EMERGENCY RESPO%3 =
SUBJECT:  Summary of Permit Assistance Team (PAT) Comments

FROM:
TO:
                                        _
          Bruce R. Weddle, Director           •
          Permits & State Programs Division

          Hazardous Waste Management Division Directors
          Regions I-X
     Attached is the second  in a series of periodic reports
which summarize major issues  that PAT members have addressed
in their reviews of specific  Part B applications, permits, and
closure plans.  (The first PAT Summary Report was issued on
March 14, 1936. )  These reports cover issues that are of generic,
national interest rather than strictly site-specific interest.
The attached report includes  reviews conducted by the Land Disposal
PAT in the first half of 1986.  In order to ensure that the
report reflects current EPA policy and guidance, we obtained
review comments from all divisions in OSW and from the Office of
General Counsel.

     We are in  the process of preparing another series of
documents which will summarize PAT reviews of proposals for
Alternate Concentration Limits (ACLs).  These "ACL Fact Sheets"
will describe the setting, issues, and recommendations at sites
where the PAT reviews ACL proposals.  The first ACL Fact Sheet
was issued by Ken Shuster on  December 4, 1986.  The Fact Sheets
are being prepared in response to the ACL Implementation Strategy.
For more information, contact Mark Salee at FTS 382-4755.

     We hope that the recommendations provided in this document
will be helpful for permit writers encountering similar situations
at other RCRA facilities*  By sharing the PAT's suggestions  from
a few sites, .we hope that permit decision-making will be somewhat
easier and faster at many more sites nationally.  We encourage
you to distribute this Report to your staff and State permit
writers.  To make that easier, I have enclosed multiple copies of
the report.

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                                                OSWER POLICY DIRECTIVE
                                                No. 9523.00-12
                              - 2 -
     Attachment A to the report lists the facility names,  Regions,
PAT Coordinators,  and dates  for the reviews  summarized in this
report.   Attachment B provides a list of  guidance documents and
directives used in preparing the PAT reviews.   Attachment C is a
current  roster of  the members, expertise,  and telephone numbers
of the Land Disposal PAT staff.

     If  you have any questions, comments,  or suggestions on the
PAT Summary Report,  please contact Terry Grogan at FTS 382-4692.
Attachments

cc:   RCRA Branch  Chiefs,  Regions  I-X
     Permit Section Chiefs,  Regions I-X
     Winston Porter
     Jack McGraw
     Tom Devine
     Marcia Williams
     Jeff Denit
     Bruce Weddle
     Susan Bromm
     Joe Carra
     Sylvia Lowrance
     Mike Gruber
     Tina Parker
     Suzanne Rudzinski
     PAT staff
     Jim O'Leary
     Paul Cassidy
     Les Otte
     Jon Perry
     Barbara Pace
Lloyd Guerci
Mark Greenwood
Matt Hale
George Garland
Art Day
Bob Tonetti
Jim Bachmaier
Ken Shuster
Sue Moreland (ASTSWMO)
Carrie Wehling
Tina Kaneen
Dov Weitman
Art Glazer
Myles Morse

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                SUMMARY CF PERMIT  ASSISTANCE TEAM  (PAT) COMMENTS


Exemption Requests from Minimum Technology Requirements

1)  Exemption Request under HSWA §3005  (j)(2)

     An existing facility applied  for a waiver  from the surface impoundment
     double liner requirement of §3005  (j)(l) under the exemption provided in
     §3005  (j)(2).  The waiver was requested for a holding basin constructed
     by excavating a depression in natural, low permeability (1.0 x 10~7
     on/sec or less) site soils.  To receive a  waiver under §3005 (j)(2), a
     surface impoundment must have at least one liner that is not leaking
     and meet certain other requirements.  The  facility contends that the
     impoundment's native soil foundation constitutes a liner for purposes of
     satisfying §3005 (j)(2).

     Section 3005 (j)(12)(A) of HSWA defines "liner" for purposes of the
     §3005  (j)(2) waiver as follows:

          A liner designed, constructed, installed and operated
          to prevent hazardous waste from migrating beyond the
          liner to adjacent subsurface soil, ground-water, or
          surface water at any time during the  active life of the
          facility.

     A literal interpretation of §3005  (j)(12)(A) precludes the use of a
     native soil foundation as a liner because  such a liner is neither
     "installed" nor "constructed".  This reading is supported by the
     legislative history indicating that the liner must satisfy EPA's
     current regulatory standards.  See 129 Cong. Rec. H8142 (daily ed.,
     Oct. 6, 1983).   Based upon the above statutory language and legislative
     history,  only facilities with an "installed" liner will be eligible
     for this exemption and no "in-aitu" liners will be permitted (note that
     a liner constructed by emplacing and recompacting excavated native
     soils may meet this definition if it prevents migration during the
     active life of the facility).

Land Treatment Facilities

1)  Compatibility Test for Combined Waste Disposal

     A demonstration of compatibility is required under §264.282 for any
     new waste that is to be added to an existing  land treatment unit.
     This requirement applies even if the new waste has been treated to
     render it non-hazardous prior to placement in the land treatment
     unit.  The demonstration of compatibility  must demonstrate that the
     new waste will not inhibit the land treatment unit from transforming,
            Ir-i or -annobill-ing -i« v*i2*e currently being applied per 264.273(a),
             »on to showing succe»»fvl  treata*M?t: azardous
     waste  in the Dr«ser*ao of existing wastes.  See gv **•«*«• ".-terete- 7.


                                    - 1 -

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2)  Waste Minimization Requirements

     Sludge applied to land treatjnent units must conform to the waste
     minimization requirements of HSWA.  For sludge, waste minimization
     usually requires dewatering. The optimum operation of units located
     in arid climates, however, may require the application of sludge
     with more water than normally remains after dewatering.  Since the
     owner/operator must comply with the HSWA waste minimization require-
     ments only to the extent economically practicable, the PAT has interpreted
     this to mean that the owner/operator nust dewater sludge only when the
     water content is in excess of that required for optimum operation of
     the land treatment unit.  The water fraction, once it has been removed,
     among other options, can be delisted (if derived from a listed waste),
     or tested against the characteristics,  or treated and discharged via
     a NPEES permitted system.                          •

3)  Principal Hazardous Constituents

     When identifying Principal Hazardous Constituents (PHC) of land
     treated wastes,  which may be required for unsaturated zone monitoring
     under 264.278(a) (2), it is important to identify all constituents
     that may enter the hazardous waste stream(s) to be land treated.
     This is particularly true at petroleum processing facilities where
     solvents used in cleaning process equipment may enter the waste streams
     to be land treated.  Solvents used for equipment cleaning can vary
     considerably within a facility and between facilities; the selection
     of PHCs for individual monitoring programs should reflect these
     differences,  based on actual solvents used.  Trichloroethylene, a
     cannon solvent,  can be of particular concern due to its high mobility.

4)  Land Treatment Unit Performance

     The performance of a Land treatment unit is measured in large part
     by its ability to degrade, transform or immobilize all hazardous
     wastes applied.   For wastes containing both organic and inorganic
     hazardous constituents, performance cannot be determined based solely
     upon the ability to immobilize heavy metals.  The ability of the
     unit to degrade and treat organic constituents must also be monitored,
     and the analyses should include all the principal organic constituents
     in the waste.  The Land Treatment Demonstration Guidance (reference 7)
     can assist in determining land treatment unit performance.

5)  Unsaturated Zone Monitoring— Soil Pore Liquid Sampling Frequency

     The purposes of a lyaimeter system at a Land treatment unit are
     (1) early detection of the transport of constituents or degradation
     products through the unsaturated zone to the ground water, and
     (2) to help monitor the effectiveness of the treatment process.  If
     hazardouo constituents are migrating cut of the treatment zone,
     the waste treatment system parameters, typically including waste
     application ratior, .i&ef- +o tat
                                    - 2 -

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     Guidance on Unsaturated Zone Monitoring  (reference 8) is available.
     A suggested approach for scheduling the  sampling of soil pore liquid
     at land treatment units is to sample one or two weeks after signifi-
     cant rainfall events based upon the long term, site-specific meteor-
     ology.  Alternately, because the timing  of sampling is critical, a
     better approach is to use a tensiometer  to identify the arrival of
     the wetted front created by the rainfall or waste application.  This
     instrument can be used with the actual lysimeter system.  As water
     moves through the soil profile, a tensiometer located next to the
     lysimeters will indicate when the wetting front is at the depth of
     the lysimeters.  Samples should be collected at this time to ensure
     that the sample is of water and waste constituents moving through
     the soil profile and not stagnant soil pore water.

Ground-Water Monitoring

1)  Screening of Monitoring Wells

     The proper screening of monitoring wells is critical in order to
     determine the presence of contamination. Heavier constituents tend
     to migrate and accumulate in the lower parts of an aquifer. Samp-
     ling and well design must be able to detect this condition.  Clay
     and silty clay layers in the saturated zone should also be monitored
     since studies have shown that some organic constituents can migrate
     in some types of clay soils. The RCRA Ground-Water Monitoring Tech-
     nical Enforcement Guidance Document (reference 9) is finalized and
     covers monitoring well design and construction.

QA/QC Methodologies

1)  Additional Verification by QC/MS

     QA/QC methodologies are crucial to assure that the analytical data
     collected for land treatment demonstrations are as accurate as poss-
     ible. See guidance reference 7.  When preparing a QA/QC plan for
     organic principle hazardous constituent  analysis by the alternative
     method which uses a gas chrcmatograpny/flame ionization detector
     (GC/FID) instead of the GC/MS method, the laboratory or owner/oper-
     ator should verify a certain percentage  (e.g., 10%) of the initial
     run (and future runs, as necessary) by GC/MS.  This approach will
     corroborate and justify the use of the GC/FID.

2)  Construction Quality Assurance Plans

     A rigorcu* construction quality assurance plan should be developed
     and implemented to insure that a completed hazardous waste facility
     meets or exceeds all design criteria and specifications.  Draft
     Guidance is available for construction quality assurance for land
     disposal facilities  (reference 1).
                                    -  3  -

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     Any proposed plan should describe how the required limits of permeability
     will be achieved and maintained during the construction of clay
     layers in liners and caps.  The guidance recommends the construction
     of a test fill using the soil, equipment, and procedures to be used
     in the final construction of the clay layer in order to assure that
     permeability limits will be met.  The construction of the test fill
     must be as stringent as the actual liner for the facility.

     Each construction quality assurance plan should identify who will
     conduct (i.e., oversee and perform) the quality assurance measures.
     It is important that the person(s) be qualified and independent of
     the construction contractor to ensure proper placement and representative
     sampling of the liner during placement.

Chemical Compatibility Testing

1)  Method 9090

     The Method 9090 chemical compatibility test exposes the membrane
     liner materials to the waste or leachate being managed at a facility
     and simulates the conditions expected during the actual use of the
     liner material.  After exposure, the liner material must be compared
     to an unexposed sample of liner material using the physical testing
     described in Method 9090.  The parameters being compared include
     changes in thickness, mass, area, and hardness, and the retention
     of physical properties such as tear resistance and tensile properties.
     The comparison should address any change in the properties of the
     liner material when compared to the unexposed sample.

     Method 9090 was originally developed to test only liner material;
     however, it is important that all other nan-made materials that
     cone in contact with waste or leachate be subjected to the immersion
     test portion of Method 9090.  Other materials that potentially come
     in contact with waste or leachate are geotextiles, geogrid and piping
     used in the leachate collection systems.  Directive 9480.00-13
     (reference 10) addresses Method 9090 and provides references for
     the individual tests that these other materials must undergo after
     the immersion test.

2)  Obtaining and Maintaining Representative Leachate

     Halogmated organics are one of the most deleterious chemical families
     to high deniity polyethylene (HOPE).  When performing compatibility
     testing on HOPE, the owner/operator oust demonstrate that the sample
     of waste or leachate used is representative of the waste or leachate
     from their facility and that the proposed methodology is capable of
     maintaining the concentrations of halogenated and other volatile organics
     actually found in a facility's leachate throughout the test.

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     Because these organic compounds are volatile, care should be taken
     not to aerate the leachate sample.  Since Method 9090 requires long
     exposure time (120 days),  loss of volatiles may occur.  This change
     in waste composition may require the waste or leachate to be replaced
     at least monthly in order to maintain representative conditions throughout
     the exposure! period.  (Replacement of leachate does not trigger the
     beginning of the 120-day period again. )

Waste Pile Liner Equivalency

1)  The Use of a Concrete Pad as a Liner

     A facility maintains that a concrete pad under a waste pile meets
     the definition of "equivalent protection" under HSWA §3015(a) and
     can be substituted for the liner requirement.  A concrete pad,
     however, fails to meet this definition and the performance requirements
     of §264.251.  Concrete is not impervious.  It has a calculable
     permeability and operations on the pad will likely degrade any
     relatively impermeable coating that may be applied.  Concrete has a
     tendency to expand and crack, allowing the escape of leachate.
     Also,  the chemical compatibility of leachate with the concrete must
     be demonstrated.  Certain leachate constituents (e.g., sulfates,
     acids) may be corrosive to concrete.

Landfill Design

1)  Final Cover Slope

     Final cover with slopes that exceed the recommended grade may exper-
     ience erosion problems and slope instability.  If the design slope
     exceeds 3-51, the applicant should demonstrate that soil erosion will
     not exceed 2 tons/acre using the USDA Universal Soil Loss Equation
     and ray be required to perform slope stability analysis.  (See
     reference 3 for slope guidance.)

2)  Waste Settlement

     When calculating settlement of a landfill for final cover design,
     allowances must be made for the settlement of the waste itself.
     Most waste materials settle and decompose at a greater rate than
     natural soils used in the final cover. Organic decomposition will
     consolidate waste layers regardless of operational techniques.

3)  Flexible Mertxrane Liner in Final Cover

     fn interim status facility proposes to use a flexible meabrane
     liner in the final cover of a landfill with steep  slopes approaching
     2:1 and a waate depth of several hundred feet in SOBS places.  Membrane
     liners are unstable when used as a component of a  final cover system
     on steep slopes and may fail catastrcphically under seismic and
     other stresses in such situations.  Additionally,  :Ms Jsws-alZy
     deep landfill is subject fo «jctra»» ^"t— .oaeni. uiuc will «i
     nums-cue tsars Li -ir.y conventional flexible meaton r»i  liner.
                                    -  5  -

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     Therefore, a flexible membrane liner  is not recommended under
     these conditions.  Given the site-specific climatic and geophysical
     conditions, an adequately designed and constructed soil-only cover
     should be used for closure of this facility under §265.310.

4)  Foundation Layer of the Final Cap

     A facility proposed a final cap design with a low permeability
     layer constructed out of either contaminated or clean soil.  Since
     this layer must provide long term minimization of the migration of
     liquids, it must be carefully designed and constructed.  Assurance
     of a consistently low permeability soil requires that the soil be
     relatively homogeneous.  Soil contaminated with hazardous constituents
     will likely not be uniformly low in permeability.  In order to achieve
     and maintain consistent low permeability, clean soils should be used
     in this layer.

5)  Leachate Collection System Design

     In order to satisfy the requirements  for landfill design specified
     in §264.301(a), the leachate collection system design should generally
     be based upon realistic infiltration  rates (based upon actual daily
     precipitation data for the area), not the annual average rate of
     infiltration.  This is because landfill cells are open depressions
     during their active life.

6)  Geotextile Materials

     When geogrid and geotextile materials are specified as part of the
     leachate collection system in place of conventional drainage material,
     they should be evaluated to assure that they have the equivalent drainage
     capacity of a one-foot layer of compacted sand.

7)  Use of Berm Material from Manufactured Slag

     A facility wishes to construct berms  from manufactured slag.  This
     material should be investigated for the presence of hazardous
     constituents.  Based on the design presented, if any hazardous
     constituents are found, the facility  should be discouraged from
     using this material.  These oonsitituents may be detected in the
     ground-water monitoring system, obscuring any releases from the
     waste* in the unit.

8)  UM of a Ocoqpoaite Primary Liner

     Several facilities have proposed using a "composite" primary liner.
     Directly below the primary synthetic  liner, these facilities have pro-
     posed adding an additional layer of either clay or chalk.  This add-
     ition is not specifically required by the Minimum Technological
     Requirements of  §3004(o)(l) of HSWA nor  is it reocropndftd  in the
     "Double Liner Guidance"  (reference  6).  The extra 3Lsy-"- ha» *v^
     advantage of providing a red^rtiort  in .Ufsefci^a aeyuE..ri. anu ^Xwr*
     long-term rallaaiiii*.  Jii^&e che extra  layer is not ntohibited, it
     c
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Closure

1)  Closure of a Land Treatment Unit with Vegetative Cover

     Owners or operators of land treatment units must make their best
     effort to establish a vegetative cover.   This can involve the use
     of soil conditioners, fertilizers and irrigation to supply the
     necessary growing conditions.   If the unit is closing under §265.280
     requirements and the owner or  operator can show that they have
     tried to implement the vegetative cover without success,  they are
     justified in the use of another closure procedure (e.g.,  clean
     closure or addition of another cover soil) for the site.

2)  Extended Closure Period
                                                        •
     A facility has requested an extended closure period so that the
     facility can continue to receive non-hazardous solid waste in order
     to bring the disposal area up to design grade.  Extended closure
     periods may be approved if:  (l)(i) the partial or final closure
     activities will, of necessity,  take longer than 180 days to complete;
     or (ii)(A) the hazardous waste management unit or facility has the
     capacity to receive additional hazardous wastes and (B) there is
     reasonable likelihood that the owner/operator or another person
     will recommence operation of the hazardous waste management unit or
     the facility within one year,  and (C) closure of the hazardous
     waste management unit or facility would be incompatible with continued
     operation of the site; and (2) the owner/operator has taken and will
     continue to take all steps to prevent threats to human health and
     the environment from the unclosed but not operating hazardous waste
     management unit or facility, including compliance with all applicable
     interim status requirements (§265.113(b)).

     The facility in question does not meet the criteria in §265.113(b);
     extending the closure period for the purpose of receiving additional
     non-hazardous waste is not necessary to proceed with closure nor
     will it provide any environmental benefit.

Exposure Information and Evaluation

1)  Role of the Agency for Toxic Substances and Disease Registry  (ATSCR)

     The rola of OTSER is to evaluate human populations with known or
     suspected exposure, not to determine if a release has occurred and
     has sigratod to potential human exposure points.  It is not  necessary
     to refer a facility to XTSCR unless a release has occurred and human
     exposure in either suspected or confirmed.  All referrals to ATSLK
     for health assessments under RCRA §3019 oust be approved by  Headquarters.
     Candidates for referral should be forwarded with the appropriate
     summary report a* described in reference 2.  ATSCR can provide  less
     formal technical assistance or consultation as also described in
     reference 2.
                                     -  7  -

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2)  Exposure Information Reports (EIR)

     In order to adequately review a facility's EIR, the Part B applica-
     tion and any other documents pertaining to possible releases should
     be examined.  The objectives of these reviews are 1) to identify
     human exposure to releases which may require ATSCR involvement and
     2) to identify potential human exposure to future releases which
     may be mitigated through permit conditions.  Therefore, the EIR
     review process should be closely integrated with ongoing RCRA Facility
     Assessments (RFAs).  Guidance (reference 2) describing the
     procedure for reviewing EIRs is available and should be consulted.
                                     - 8 -

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Facility
            Attachment A



PAT Reviews Included in This Summary



          Region           PAT Coordinator
Review Date
Amax Nickel
BKK
Bob's Home Service
Casual i a Resources
CECOS
Chemical Waste Management
Environmental Waste Control
Fondessy
Hess Oil Virgin Islands Corp.
Murphy Oil USA, Inc.
RMT Properties, Inc.
VI
IX
VII
DC
II
IV
V
V
II
VI
VIII
Chris Rhyne
Chris Rhyne
Chris Rhyne
Chris Rhyne
Chris Rhyne
Chris Rhyne
Robert Kayser
David Eberly
Nestor Aviles
Nestor Aviles
Robert Kayser
June 1986
December 1985
January 1986
April 1986
December 1985
January 1986
December 1985
April 1986
February 1986
March 1986
April 1986

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                               Attachment B
       List of Guidance Documents Used in Preparing the PAT Reviews

1.   Construction Quality Assurance for Hazardous Waste Land Disposal
     Facilities,  October, 1985, EPA/530-SW-85-021.

2.   Procedural Guidance for Reviewing Exposure Information
     under RCRA §3019,  September, 1986, Directive Number 9523.00-2A.

3.   Draft RCRA Guidance Document: Landfill Design—Liner Systems and
     Final Cover (Chapter E only); July,  1982.

4.   Criteria for Identifying Areas of vulnerable Hydrogeology Under
     the Resource Conservation and Recovery Act—Statutory Interpretive
     Guidance (July 1986, Interim Final)  NTIS No. PB-86-224946.

5.   Interim Status Surface Impoundments, Retrofitting Variances, July 1986,
     NTIS No. PB-86-212263.

6.   Minimum Technology Guidance on Double Liner Systems for Landfills and
     Surface Impoundments —Design, Construction and Operation, Draft
     May 1985,  EPA/530-SW-85-013.

7.   Permit Guidance Manual on Hazardous Waste Land Treatment Demonstrations,
     July 1986.

8.   Permit Guidance Manual on Unsaturated Zone Monitoring for Hazardous
     Waste Land Treatment Units, April 1986.

9.   RCRA Ground-Water Monitoring Technical Enforcement Guidance, October 1986.

10.   Supplementary Guidance on Determining Liner/Leachate Collection
     System Compatibility, Effective Date 8/7/86, Directive Number 9480.00-13.

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         Attachment C                       2/27/87


Land Disposal Permit Assistance Team (PAT)

      Current Organization and Staff
           Assistance Branch
           Suzanne Rudzinski, Chief (382-4761)

Land Disposal Permit Assistance Section
         Terry Grogan, Chief (382-4692)
    Chris Rhyne (Civil Engineer, 382-4695)

    - Disposal Design & Operating Stds
      (liners, leachate collection)
    - Liner Compatibility
    - Closures (clean-up standards)

    Bob Kayser (Chemist, 382-4536)

    - Exposure Assessments
    - Chemical Analysis
    - Appendix VIII Monitoring

    Janette Hansen (Geologist, 382-4754)

    - Ground-water Monitoring
    - RFA Technical Assistance
    - Corrective Action Technologies

    Mark Salee (Environmental Scientist, 382-4755)

    - ACLs
    - Risk Assessments
    - Ground-water Protection Regulations

    Dav« Eberly (Civil Engineer, 382-4691)

    - Disposal Design & Operating Stds
    - Construction QA; Liquids in Landfills
    - Closures (caps)
    - Surface Impoundment Retrofitting and Waivers

    Any Mills (Geologist, 382-3298/4692)

    - Ground-water Monitoring
    - Corrective Action
     - RCRA T«c>nicc»l Ground-water Staff

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                                                        POLICY DIRECTIVE KQ.

                                                  9523.00?.!   4
\
           UNITED STATES ENVIRONMENTAL PROTECTION AGENCY

                      WASHINGTON, O.C. 20460
                          MAR I 4  ;e8
                                                       Of f ICE O*
                                              SOLID WASTE AND EMERGENCr RESPONSE
SUBJECT:  Summary of Recent hermit Assistance Team
          (PAT) Comments
CROM:     Terrya GrogaVi, Program Manager
          Land Oisoosal PAT Program

TO:       Permit Section Chiefs
          Regions I - X

     The OSW Permits Branch plans to provide a semi-annual report
summarizing major issues that PAT members address in their reviews
of specific Part B applications.  These reports will cover issues
that are of national interest rather than strictly site-specific
interest.  The attached report is the first in this series; it
summarizes generic issues addressed in PAT comments prepared  for
nine land disposal Part B applications reviewed during  1985.  We
hope the recommendations provided in this summary of recent PAT
comments will be helpful for permit writers encountering similar
situations at other RCRA facilities.  Therefore, we encourage you
to share this report with your staff and State permit writers.

     Since this report is the first attempt to derive written
national suggestions from site-specific PAT comments,  we are
very interested in your reaction.  Please let me .know if the
report and current format are useful.  Is the level of detail
provided here adequate?  Would you like to see the original
PAT comments for specific sites or some other form of guidance?

     Attachment A to the report lists the facility names, Regions,
and PAT reviewers for each application included in this report.
Attachment B provides a current roster of the members and expertise
of the Land Disposal PAT staff.

co  Marcia Williams
     Bruce Weddle
     Jack Lehman
     Eileen Claussen
     Lloyd Guorci
     ?•»•? Guerrero
     Ken Shuster
     Jerry Kotas
     Sylvia Lowranca
     Mark Greenwood

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                                                                 SO.
                                                9523-00-1   4
     SUMMARY OF RECENT PERMIT ASSISTANCE TEAM  (PAT) COMMENTS


Sampling Procedures

1)  Filtering Ground Water Samples

     The practice of filtering ground water prior to analysis can
     remove contaminants sorbed onto particulates which can give
     misleading indications of ground water quality.  The
     August 1985 Draft RCRA Ground-water Monitoring Technical
     Enforcement Guidance Document recommends  that ground water
     samples collected for metals analysis should be split into
     two portions.  One portion should be filtered through a 0.45
     micron filter and analyzed for dissolved  metals.  The
     recommended approach for the second unfiltered portion is to
     use a mild acid digestion method (e.g., Method-3010, SW-846)
     to yield total recoverable metals.  Any difference in
     concentration between the total and dissolved fractions may
     be attributed to either the original metals content of the
     particles or to the migration of dissolved metals onto
     the particles.

2)  Bailers

     The composition of bailers is important when monitoring for
     certain types of constituents.  For example, brass bailers
     should not be used when sampling for metals because brass can
     introduce metallic ions into the samples.

The Use of Models

1)  Unusual Ground Water Situations

     In situations where aquifers are composed of highly
     stratified sediments or have other unique features, most
     current mathematical models may not accurately predict
     aquifer characteristics.  Therefore, the  model used should
     include a trial-and-error phase, in which computed drawdowns
     are matched with observed field drawdowns. A recommended
     reference isi Land, Larry P., "Utilizing  a Digital Model to
     Determine the Hydraulic Properties of a  Layered Aquifer"
     Ground Wattr v.15, no. 2 pp 153-159  (1977).


Applying HSWA Corrective Action Requirements  to Releases
from Process Areas

\\  Interpretation of "SWMU'
     A facility is unu^*-A4''.rt  by  v. ; .ceynin«t*i  •'oils  and  grounH
     water resulting  from  prior  releases  *rom p<-c— -- <»r>»»-
     Draft policy guidance (January  30,  1985) interprets  the terra

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                                                   OSWE3 POLICY DlitECTlVc ,-,„.

                                                  9523.00-1   4
                               -2-
   "solid waste management unit" (SWMU) to exclude accidental
    spills from production areas.  However, the contamination at
    this facility appears to be the result of routine,
    deliberate, and systematic discharges from the process area.
    Such deliberate deposition qualifies the process area as a
    de_ facto SWMU.

Request for a Liner Exemption

1)  Liner Exemption Based on Design Concept  ,

     A facility applied for an exemption from the landfill liner
     and leachate collection and removal system requirements of
     §264.301.  The owner/operator claimed that the landfill
     unit will not result in migration of leachate from the unit
     due to its intergradient design.  The unit is located
     within the uppermost aquifer and the net migration of water
     is into the unit.  Theoretically, migration of contaminants
     out of the unit will be prevented since this is counter to
     the inward flow of water.  However, this design does not
     qualify for a liner exemption, which requires that the unit
     prevents the migration of hazardous constituents into
     ground or surface water at any future time.  Although the
     net flow of ground water is into the proposed facility,
     under certain conditions (i.e., when the waste reaches
     saturation) constituents can be expected to migrate out of
     the waste and eventually out of the unit.

Stabilization of Bulk Liquids

1)  Acceptable Chemical Stabilization Techniques

     To treat bulk hazardous liquids, owner/operators must
     demonstrate that the 'treatment* applied to the  liquid is
     not absorption.  Chemical stabilization is one treatment
     alternative fior bulk hazardous liquids.  Stabilization
     technologies commonly used include Portland cement-based
     processes and other pozzolanic processes using lime
     products and materials such as fly ash, ground slag, and
     cement kiln dust.

2)  Demonstrational of Stabilization

     After chemical transformation has occurred, the  end product
     should pass the Paint Filter Liquids Test finalized on
     *^ri! 3C,  '985 (50 PR 18370).   In addition, the  owner/
     operacot sust dAiuonatrate th»t the w*«t« has been
     adequately staoiiizeo.   *'A t«  .t tiv^ ptwv.**:*  of
     recommending a performance standard  to hslp

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                                                GSficR PXCY DIRECTIVE NO.

                                               9523.00- 1   4
                             -3-

     operators and permit writers determine whether a process
     is "chemical stabilization" (as opposed to absorption).
     This standard uses an unconfined strength test to make
     the determination.  The owner/ operator has the option
     of proposing a different methodology as long as adequate
     stabilization can be demonstrated.

Corrective Action

1)  Regulatory Status of Contaminated Groun'd Water

     John Skinner's memo of December 26, 1984, states that
     contaminated ground water collected and derived from a
     listed waste or hazardous due to presence of.a
     characteristic is a hazardous waste and subject to
     Subtitle C regulations.  Therefore, owner/ operators
     proposing ai corrective action such as counterpumping
     must manage such collected ground water as a hazardous
     waste.  The Part B application must include the
     procedures used to manage ground water so that they can
     be evaluated.

2)  Removal of PCP by Activated Carbon

     Passing contaminated water through activated carbon
     usually works well for most organic chemicals. However,
     the applicability of this method for PCP (penta-
     chlorophenol) may be questionable.  The phenolic group
     in PCP is weakly acidic (pKa » 4.7) and PCP will ionize
     in neutral water.  In the ionic form, the compound is
     highly water soluble and its affinity for carbon
     severely reduced.  Specific data must be provided
     (e.g., from bench or pilot studies) that demonstrate
     the applicability of activated carbon in removing PCP.

3)  Permit Specifications

     Corrective action programs, when warranted for regulated
     land disposal units, must be specified as part of a
     facility's permit.  The permit should include the basic
     measures to be taken for the corrective action, and
     predict when the goals of the corrective action plan will
     be met.  Any future changes in the specifics of the
     corrective action program would entail a permit modif-
     ication,  it is  important that the owner/operator
     ~^juat;^,/ >i h«*s»-'«3us v.r-»sH tuents
     ir. tl^ ^roundwater.  The owner/op«*.o<.cL  should conduct
     ttlot pump tests to verify the performance of any counter-
     pumping installation if necessary.

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                                                  OSV;ES POLICY o-.^ciivi.•;:.

                                                 9523  • 00- 1   4
                                -4-

ACL3

1)  Use of Acceptable Surface Water Limits

     When the only exposure to ground water contaminants is via
     surface water, then it is possible to base the ACLs on
     acceptable surface water limits for the contaminants
     present in the ground water and to use a surface water
     dilution factor to derive the ACLs.  The dilution factor/
     however, must be sufficiently conservative relative to the
     assumed stream flow.  In general,  the owner/operator should
     assume a 7-day, 10-year low flow.   The dilution
     calculations should only consider mixing within some
     State-approved zone and will depend on the ground water
     loading to the river.

     Owner/operators intending.to use surface water dilution in
     an ACL application must prepare a surface water analysis to
     determine tho cumulative impact on the river.  The analysis
     should include upstream, downstream and point of discharge
     sampling for the Appendix VIII constituents present in the
     ground water-

     The actual ground water discharge to a surface water body
     must be verified by appropriate ground water delineation
     methodology.  It is not sufficient to assume that all
     ground water discharges to a surface water body.  It must
     be demonstrated that ground water flow does not go under
     and beyond the surface water body.

2)  Potential Point of Exposure

     In an ACL submission, the applicant must address the on-
     site use of ground water as well as any use downgradient of
     the facility.  Ground water exposure is assumed to be at
     the facility's waste management boundary unless there are
     use restrictions on-site.  The fact that ground water is
     not currently used is not sufficient evidence to assume no
     potential exposure.  If ground water use restrictions,
     i.e., deed restrictions, are implemented on-site, then the
     property boundary is assumed to be the potential point
     of ground water exposure.  If the point of exposure is at a
     surface water body, ground water use restrictions should be
     in effect from the waste management boundary to the point
     where groi«-i <*ate£ di sparges to surface water.

     When calculating exposure tutough mV~?.
-------
                                                 OSWER POUCY u,!iw,..t ..,,.

                                               9523-00-  1  4
                              -5-
     cannot assume that  water  consumed  will  be  treated  prior  to
     consumption  because the criterion  is  not  technology-based
     and exposure must be estimated  adjacent to the mixing zone.
     For surface  waters, the potential  point of use is  at  the
     shoreline or area of the  waterbody where  contaminated
     ground water discharges.  The  requirement  that the  point of
     exposure is  at the  edge of  the  mixing zone is primarily  for
     the protection of the environment,  as the  ACL guidance
     stresses the importance of  protecting the  environment as
     well as human health.  Aquatic  toxicity data should be
     compared with human toxicity  data  to  determine limiting
     effects of the constituents of  concern.  Information  should
     be submitted on aquatic habitats adjacent  to ground water
     discharges to the surface waterbody.  Special attention
     should be placed on bioaccumulation of  hazardous
     contaminants by benthic organisms  and fishery resources.

3)  Modeling Information Required  for ACL  Demonstrations

     Modeling degradation and  attenuation  of constituents
     between hazardous waste management units  and a potential
     point of exposure is a valid  method for developing ACLs.
     However, all modeling must  be substantiated by sufficient
     information  and sampling*  Model documentation is  necessary
     for most ACL proposals.   For  example, applicants must
     provide the  full name of  all  models used  as well as
     documentation on why and  how  the model  was applied.

4) Grouping of Toxic Contaminants

     Grouping can mask the effects of  individual chemicals.
     In addition, degradation  products  can be  lost in grouping
     schemes.  Nevertheless,  the ACL guidance allows grouping  of
     hazardous constituents in order to simplify the ACL demon-
     stration.  The burden of  proof that a grouping of
     constituents is appropriate is on  the owner/operator.
     Exposure pathways and metabolic endpoints for each
     constituent must always  be  considered when determining
     appropriate groupings.  The fate  and  transport mechanism,
     not concentration and volume, are  the most important
     factors Cor choosing the  most mobile  constituents  within
     a grouping.

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                                                              OSWSR POLICY DIRECTIVE NC
                                                            9523.00-1    4
                                 Attachment A
                     PAT Reviews Included in This Suimery
    Facility^
Allied Chemical
Chera Waste
Management
Ciba-Geigy

Eaton Corp

G.E. Waterford

Hytek

International
Paper

Penrapost

USPCI
Region

 III

  IV

  IV
  II
 VII

   X

  VI
PAT Coordinator

  Any Mills
   •
  Chris Rhyne

  Rich Steimle

  Any Mills

  Any Mills

  Any Mills

  Usrnon Myers

  Robert Kayser

  Robert Kayser

-------
              Attachment B
                                         OSWEJTPCUCY DIRECTIVE .'

                                        9523  .00-14
           OSW Permits  Branch

Land Disposal Permit  Assistance Team (PAT)

    0  Terry Grogan,  Manager (382-4740)

    Current Staff;

    0  Chris Rhyne  (Civil  Engineer;  382-4695)
         - Disposal D & 0  Standards
           (liners, leachate collection)
         - Closures (caps, etc.) •
         - CERCLA sites

    0  Bob Kayser (Chemist; 382-4536)
         - Appendix VIII Monitoring
         - Waste Analysis
         - Exposure Assessments

    0  Nestor Aviles  (Chemical  Engineer;  382-2218)
         - Land Treatment

    0  Janette Hansen (Hydrogeologist;  382-4754)
         - Groundwater  Monitoring
         - Corrective Action
         - PA/SI Field  Test and Training

    *  Mark Salee (Environmental Scientist;  382-4740)
         - ACLs
         - Exposure/Risk Assessments

    •  Dave Eberly  (Civil  Engineer;  382-4691)
         - Disposal Standards

    9  Vacancy (Geologist)


    Othersi

    •  Mickey Hartnett  (Environmental Engineer; 382-4755)
         - On detail from  Region IV to develop program
           for Corrective  Action technical assistance.

    •  Rich Steimle  (Hydrogeologist; 382-7912)
         -On detail to Ground Water Task Force.

    9  Amy Mills (Geologist)
         - On academic  i°—. „ ^til l/o/.

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              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                         WASHINGTON, O.C. Z04CO


                                                9523.00-15



 MAR 30 !988
MEMORANDUM

SUBJECT:  Summary of Permit Assistance Team  (PAT) Comments
FROM:     Sylvia Lowrance,  Director
          Office of Solid Waste
                                 orO^/A^ p^-
                                 (WH^562\
 TO:       Hazardous Waste Management Division Directors
          Regions  I-X

    Attached  is the third in a series of periodic reports which
 summarize major issues that PAT members have addressed in their
 reviews of specific Part B applications/ permits and closure
 plans.   (The  first and second PAT summary reports were issued
 on March 14,  1986  (OSWER Policy Directive No. 9523.00-14) and
 March 30, 1987  (OSWER Policy Directive No. 9523.00-12),
 respectively.)  These reports cover issues that are of generic
 national interest  rather than strictly site-specific interest.
 The attached  report includes reviews conducted by the Land
 Disposal PAT  from September 1986 thru April 1987.  In order to
 ensure that the report reflects current EPA policy and guidance,
 we obtained review comments from all divisions in OSW and from
 the Office of General Counsel.

    We hope that the recommendations provided in this document
will be helpful for permit writers encountering similar
situations at other RCRA facilities.  By sharing the PAT's
suggestions from a few sites, we hop* that permit decision-
making will be somewhat easier and faster at many more sites
nationally.  We encourage you to distribute this report  to your
staff and State pernit writers.  To make that easier, I  have
enclosed multiple copies of the report.

    AttachMBt 1 to the report lists the facility names,
Regions, Flf coordinators, and dates for the reviews summarized
 in this report.  Attachment B provides a list of guidance
documents and directives used in preparing the PAT  reviews.
Attachment C provides information on user access to the
Hydrologic Evaluation of Landfill Performance  (HELP) Model.
Attachment D  is a memorandum addressing the  *CRA
status of contaminated ground wat**r.

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                                                       No. 9523.00-15
                               -2-
    It you nave any questions, comment*, or suggestions on
the PAT Summary Report, please contact Janes Michael at
FTS 382-2231.
Attachments

cc:  RCRA Branch Chiefs,
      Regions I-X
     Permit Section Chiefs,
      Regions I-X
     J. Winston Porter
     Jack McGraw
     Tom Devine
     Jeff Denit
     Bruce Weddle
     Susan Bromm
     Ken Shuster
     Joe Carra
     Mike Gruber
     Jim O'Leary
     Suzanne Rudzinski
PAT Staff
Paul Cassidy
Les Otte
Art Day
Jon Perry
Jim Bachmaier
Elaine Stanley
Lisa Friedman
Tina Kaneen
Fred Chanania
Matt Hale
George Garland
Terry Grogan
Tom Kennedy  (ASTSWMO)
             i

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     Tooic
 Ground^ater  Monitoring

 Landfill Design
                                              3
 Land Treatment Onita

Permit Issuance

Corrective  Action
                                               6

                                               9  '
                                               10
 Miscellaneoua Tboics
                                              13


 Attachment A:  List of PAT

 Attachments:  List of Guida^ and
               References

Attachment C:  Aeew, to HELP
                                                      W«*ta. _ _

-------
                                            08WER Policy Directive No. 9523.00
             SOWAR* OP PERMIT ASSISTANCE TEAM (PAT) CDMCNTS


Ground-water Monitoring

     1) well Develoonent

          An owner/operator indicated in his/her permit application that
          extracting the required well volumes by bailing prior to sampling,
          removed fine materials that were 'trapped during well installa-
          tion'.   This sample extraction that occured over i year of monit-
          oring resulted in additional well development.

          Prooer wwll develocment, as described in the RCRA Ground-water
          Monitoring Technical Enforcement Guidance Document (TEGD)
          (Reference 11), reouires that the wells be clay and silt free.
          Turbid ground water promotes biochemical activity and possible
          interference with ground-water sample quality.  Turbidity
          readings over 5 nephelometric turbidity units  (w.T.O.) may be
          grounds for rejecting samples from a monitoring well.  TEGD
          provides a decision chart for turbid ground-water samples.

          The quality of any monitoring data that was obtained from
          improperly developed wells is questionable.

     2) Aooropriate Well Construction Materials

          Several facilities have used polyvinyl chloride (PVC)  as
          monitoring well construction material in the saturated zone.

          PVC is not an inert material and constituents such as phthalate
          and tetrahydrofuran in ground-water samples have been attributed
          to PVC well casing or pipe solvents.  PVC materials can be
          used,  however, in composite well const ruction where PVC or
          other  non-Inert material is used above the saturated zone while
          inert materials are used in the saturated zone.   The TEGD
          (Reference 11) provides a complete description of appropriate
          •anltoriog well construction Materials.
               • facility has already installed wells with materials that
                 neat the TEGD requirements, it is not necessary that the
                Hnitoring system be replaced and the data discarded.  A
          properly constructed and located comparison well can be installed
          and sampled.  Comparison of data from the new well with the
          existing data will determine if constituents detected in the
          older wells, such as phthalate, are due to the PVC materials or
          to contamination of ground water fro* other sources.

     3)  Calculation of Purge Volume
          A cx7*nonly encountered err^t  in  saweling procedures involves the
          calculation of the evacuation volume prior to sampling.  Ths correct
          calculation should include  the volume of water in the gravel pack
          as well as the volume of water in the casing.  With a snail diameter

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                                       OSNER Policy Directive NO.  9523.C
        ling (e.g. 2 inches),  the actual boring nay be much larger,
     water in the gravel pack can  represent a significant percentage of
     the well volume and should be removed in order to sample the
     aquifer correctly.

4) Appendix IX

     In the July 9, 1987, Federal  Register, EPA promulgated a new list
     for ground-water monitoring,  Apoendix IX to Part 264, which  will
     replace the Appendix VIII monitoring requirement.  Existing  sw-846
     methods are adeouate for the  compounds listed on Appendix  IX.
     [See Reference 4 for the final  Appendix IX list]

     Appendix IX is a list of chemicals taken from Appendix VIII  for
     which it is feasible to analyze in ground-water samples.   In
     addition, Appendix IX contains  17 chemicals  routinely monitored
     in the Superfund program.

5) Use of Accelerated Monitoring Schedules         t

     A facility which was deficient  in the ground-water monitoring
     section of their Part B Application was  requested to improve thtir
     monitoring network by drilling more wells  and developing them
     properly.  Once these deficiencies art corrected, an accelerated
     ground-water monitoring schedule, sampling four times within four
     months/ was recommended.
          recommendation, which was designed to bring a facility into
     compliance as soon as possible, is in accordance with the recommend-
     ations in the RCRA Ground-water Monitoring Compliance Order Guidance
     (Reference 10).  When scheduling the accelerated monitoring, the
     facility could schedule one sampling event after a significant
     rainfall, the second event after a dry period and the remaining two
     events can be interspersed within the four month tine frame.  At the
     site in Question, this sampling scheme should allow data representativ
     of the site to be obtained ouickly.  Note, however, that this type
     of an accelerated sampling scheme mty-not be appropriate for all
     facilities in all locations.

6) mLotamaee of Ground-water Monitoring Networks
              iter Monitoring networks that will be used during the life
     of the facility and its closure period, will  need at leaat some
     Maintenance In order to assure that  representative samples are being
     obtained.  Often the maintenance needed will  be redevelopment of the
     monitoring uell.  The inital performance  of a veil should be determ-
     ined and any* significant changes over timt may indicate the need
     for periodic redevelooment  or a maintence mHusmant.  in rrv*-
     cases, ouch as after severe damage by accidental or *»*-.:;«i occur-
     rence like flooding, well  rep'*-£?£^  ,*/ t* warranted.
                              - 2 -

-------
                                                  Policy Directive NO. 9523.00-
          A contingency plan should be prepared by the facility addresainc
          the proposed course of action  should the integrity of the monitoring
          wells bocome damaged.   The regulations  ($264.310(b)(3)) clearly
          require the owner/operator of'a landfill to maintain their monitoring
          well network during closure period.  However, appropriate language
          should be included in  the permit to make adequate maintenance of the
          system during the life of a unit and its closure period a permit
          condition.   While not  absolutely necessary for  enforcement, further
          elaboration of the reouirements will clarify the duties of the
          owner/ooerator.

Landfill Design

     1) Definition of Replacement Unit

          A replacement unit, as defined in the preamble  to the Final Cod-
          ification Rule; Hazardous Haste Management System (50 PR 28706,
          July 15, 1965) is a "unit that is taken out of  service and emptied
          by removing all or substantially all the waste  from it" prior
          to being reused.  A facility planned to dewater half of an interim
          status surface impoundment that is bisected by an underwater dike
          and to route all incoming waste to the southern portion,  it*
          northern section was scheduled to receive consolidated waste
          from several other impoundments and to close as a landfill.
          The northern section,  however, meets the  criteria of a 'replace-
          ment unit'  since the deposition of the original waste material
          has stopped1, substantial dewatering is planned and placement
          of waste from other units is to occur  prior to closure.

          under S3015fb) of RS1A, facilities authorized to operate under
          530t5(e) shall be subject to the mininun technological requirements
          of 3014(•)  for each replacement or lateral expansion of an existing
          landfill or surface impoundment.  The north section mat be retro-
          fitted to satisfy these reoulrenents before the deposition of the
          waste from other units can begin.

          The southern unit, as an existing surface impoundment, becomes
          subject to the slniiuB technological requirements  and oust be
          retrofitted if it continues operation after November 8,  1988
          par I300MJ), unless a waiver is obtained.

     2) Doofeli Lime ifelver Petitions

          Another facility reouested a waiver fro*  the double liner require-
          ment for i new unit based upon Section 3004(o) (2), which allows
          for an exception to the double  liner requirement if "alternate
          design and operating practices,  together  with  location characteristics,
          will prevent the migration of any hazardous constituents into the
          ground water or surface water at least as effectively as such
          liners or leachate collection syst<
                                  - 3 -

-------
                                            OSNBR Policy Directive tto.  9523. C
          The proposed bottom liner design i« a 2-ft layer of com-
          pleted nterlal with 5 x 10-* on/sec permeability,  -mis bottom
          liner design is substandard because it does not meet the requirement.
          of section 264.221(c) (3-foot layer of recorapacted clay of at
          least 1 x 10-" cm/sec permeability).  Since the design does not
          meet the requirements of S264.221(c), location characteristics
          or operating practices must compensate for the deficiency, as
          allows under $264.221fd).  This unit is to receive wet sludges and
          an unusually large amount of leachate is expected.  The owner/
          operator did not present anv operational reason to grant the
          petition.  Similarly, the location of the unit would not prevent
          miaration of hazardous constituents to the ground water because
          ground water is tyoically near  or  at the surface.  Therefore,
          the PAT saw no compelling evidence that hydrogeologic conditions
          would favor a variance.

          Since this alternate double liner  design did  not  satisfy the
          $264.221(d) criteria for preventing migration to  ground water
          at least as effectively as a double liner system  under $264.221(c),
          and location characteristics and operational  practices did
          not compensate for the liner design, the PAT recommended  that  the
          petition for a double liner waiver not be granted.

3) Determination of equivalent Liner Design

          The PAT reviewed a proposed double liner design in order  to
          verify that it meets the general minima  technology requirement
          set forth in Section 3004(oHl)(A)(i).  The liner design was
          compared to the interim statutory design found in Section
          3004(0)(5)(B) of HSKA and codified in $264.301(c).

          The comparison was conducted on a layer by layer basis.  The pro-
          posed primary leachate collection system,  the top liner and
          the secondary leachate collection system for the facility were
          either identical or exceeded the Agency's recommended specifications
          for the interim statutory design. The secondary liner system, how-
          ever, varies significantly frc* the interim statutory design which
          may be satisfied by at least 3 feet of 10~7 oVsec compacted clay
          or other natural eaterial. The proposed bottom liner will con-
          sist of DB 80 ail high density polyethylene  (HDPI) liner  to be
          LHSjellad landiately over an existing ethylene  propylene rubber
          (MBl liner and an existing leak detection  systesj. Before  instal
          latlon of the bottc*  liner, the EPDJt liner will  be cleaned and
          the sees* tested for  leaks.  The  HOPE liner  will fora a  oppression
          fit over the existing liner and its teams will be constructed
          perpendicular to the  existing  liner's
          The interia statutory design requires that a bottc* liner be
          designed, operated and  constructed to prevent the sdgratie* ~?
          any constituent through tuch * liner during th$ op**?..:.* and post-
          cijouze ranitorlng p*ri<* (S300*;o>'"(«•)>»  The PAT concluded
          that a carefully constructed redundant PKL bottom liner should
                                   - 4 -

-------
                                       QSNBR Policy Directive NO. 9523.1
     result in a liner that controls migration as well as, or better
     than, 3 feet of 1 x 10-" cm/sec clay.  As long aa waste/liner
     compatibility is clearly demonstrated, a system constructed of the
     proposed components was determined to be equivalent to the interim
     statutory design.

4) Calculation of Leachate Volume for  Collection system Design

     An engineer for a facility desioned the  leachate collection system
     for their new landfill based upon leachate  volume estimated from
     calculations using Moore's Equation (see Permit writers' Guidance
     Manual for Hazardous Waste Land Treatment,  Stora5c~and""bispo3al
     Facilities, Reference 7).  While  the use of this equation  is  ac-
     ceptable, the equation best applies to a long term, steady-state
     impingement rate and not to short-term storm events.   In order to
     most accurately consider variations in rainfall data  such  as
     storm events, the KELP (Hydrologic evaluation of Landfill  Perform-
     ance) model is preferred.  This model  is available  to any engineer
     or technically trained individual for  evaluating the  design of
     leachate collection systems. See  Attachment C for information on
     obtaining the user guide and software  package.

5) Cap Design Modifications

     A facility proposed several modifications to their cap design spec-
     ifically to reduce erosion potential.  The soil layer was increased
     from two feet to three feet.  The increased soil depth, plus the
     presence of a drainage layer and geotextile material, mitigates
     the impacts of frost action.

     The facility also proposed to use roughened HOPE membrane as the
     synthetic liner over the clay layer in order to reduce the potent-
     ial for sliding.  The friction angle between the roughened membrane
     and the clay is 29 degrees, a significant increase over the
     friction angle between a smooth membrane and  the clay layer.  A
     potential proble* with the use of roughened BDPB Mfcrane is its
     limited oojnercial availability at thffr tim.

     Aocbor trenches have also been proposed to tie down  the liner,
     fiiear and drainage layer material for  the purpose of increasing
           stability.  The trenches act as drainage conduits as well,
                the efficiency of the drainage  systea.
6) Ose of a test Plot to Support an Alternate Cover Design

     A facility proposed a cap design that  is significantly different
     from the recomended design criteria specified in the July 1982
     Draft Guidance Document:  Landfill Design— Liner Svstess and Final
     Cever (Jtofertnce 2).
                              - 5 -

-------
                                            0»ER Policy Directive NO. 952J
              final cover, based upon the guidance, should have two or more
          feet of "soil capable of sustaining plant species",  me facility
          proposed that the cap will be comprised of 24 inches of contacted
          Ponce clay, 18 inches of compacted caliche and 6 inches of veget-
          ated, uncompacted caliche.  Caliche is a limestone deposit that
        _ is found in arid regions.  This soil, when in contact with moisture
          could harden like concrete and may not sustain vegetative growth.
          The proposed plant specie, weeping lovegrass, is not indigenous
          to the area and has roots up to 18 inches in length, which is
          longer than the 6 inch vegetative layer could support.
          The best alternative for this facility would be to redesign their
          cap to conform to the specifications  in the guidance.  However,
          they can use cap components which differ froa the recommended
          design if the facility constructs a test plot in order to demon-
          strate that the proposed material will support a vegetative cover.

     7) Potential for HDPB Failure

          An engineering report prepared for a  landfill liner design  indicated
          that the material to be used as a sub-base under an HPDE liner
          showed differential settlement of up to 1.5 feet over a  horizontal
          distance of 2 feet.

          The engineering report assumed that the HDPE membrane could tolerate
          such settlement, but research has shown that HOPE liners usually
          fail along a narrow area.  Stretching a localized imperfection,
          such as a shallow scratch, over the 1.5 feet differential settle-
          ment could result in a hole in the liner.

          The facility should prepare a stable base under the HPDB liner as
          required in $264.301 (aHlHii).

Land Treatment Onitir

     1) waste Characterization/Maste Analysis Plan

          A petroleua refinery is  undertaking a-land treatment demonstration
          but haa nor. adequately characterized its waste.  A waste analysis
          plan prepared according  to the requirements of 15264.271 (b) and
          2«f,272(cm)(l) «ust  include testing for Appendix VTII constit-
                that art reasonably expected to be in or derived  from the
                  flw taste analysis plan  for  refinery wastes should
          iaclalt tasting for the  EPA approved subset of Appendii VTII
          constituent* found in petroleum wastes (e.g., the "Skinner List").
          The Permit Guidance Manual on Hazardous Haste Land Treatment
          Demonatration*  (Reference 5) should be referred to for a complete
          discussion on, the development of waste analysis plans.   Appendix 0
          in reference 5 provides a copy of the list of Apoendix VIII
          e/srsstituent* that may be found in ?c**oleii* waste*.
                                   - 6 -

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                                             Policy Directive NO. 9523.00-
2) Demonstration of Land Treatabllity

     A facility based its land treatment demonstration on the degradation
     of the oily fraction of the wastes and on the immobilization
     of lead and chromium in the soil.   They did not account for the
     treatment of any other Appendix VIII constituents detected in
     their waste.  This same facility only conducted the feasibility
     test program using leachate column tests.  These tests will
     provide information on the loading rate of the soil, but will
     not be able to determine the site/soil assimilative capacity.

     Section 264.272 requires that the owner/operator must  demon-
     strate that hazardous constituents in the waste can be complete-
     ly degraded, transformed or immobilized in the treatment  zone.
     A properly conducted demonstration should evaluate all the pro-
     cesses involved in a land treatment unit including degradation,
     transformation and immobilization.  A toxicity study,  which
     identifies toxic loading rates and evaluates the impact  of the
     wastes on indigenous soil microorganisms, should, be conducted.
     A transformation/detoxification study, which is also a necessar'
     part of the demonstration, should provide information on the
     decrease in toxicity of the waste/soil mix to soil microorganisms
     over time.  Reference 5 provides complete Information on the
     components of a good land treatment demonstration.

3) Control of Soil Moisture

     A saturated land treatment unit is unable to accept sludge with
     a high quantity of water since these conditions would promote
     anaerobic conditions in the treatment zone.  These conditions
     would lead to a decrease in microbial degradation of organics
     and the migration of run-off containing large amounts of  hazard-
     ous constituents.  An owner/operator at a facility where  satura-
     tion of the unit is possibile, even during a  portion of the
     year, should conduct studies to measure and control soil  moisture.
     A water balance for the facility  that accounts for seasonal
     changes should be part of such a  studyv

4) Selection of Principal Hazardous constituents  (PBC)
          art defined in 5264.278(a)(2) as "hazardous constituents
               in the wastes to be applied at the unit that are the
          difficult to treat, considering the combined effects of
     degradation, transformation  and immobilization".  Therefore,
     the PHC for  any land  treatment  unit  can only be selected after
     the completion of an  adequately designed land treatment demon-
     stration  (nee previous item  2).  PHCs are those hazardous con-
     stituents that have the lowest  site/soil assimilative capacity.
     CDn*«:<*'!*nt£ elected should also have * tow to sai:-?af» "*por
     (rtvsiifre. so  they *;il r«*  volat.i* v fT" tf-e wuw shortly
     after ..pplication.  The criteria for the selection of PHCs  is
     cove -<*j in Reference  5.
                              - 7 -

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                                        OWER Policy Directive NO. 9523.00-:
5) Permitting of Land Treatment units

     After several years of an on-going land treatment demonstration,
     a _facility still has not proven that their unit can degrade,
     transform and immobilize the hazardous constituents in their
     waste.  A satisfactory land treatment demonstration will  require
     more effort, time and a large investment by the applicant.

     The land ban restrictions for the 'California List' or 'first
     third1 waste constituents will affect most of the current land
     treated wastes.  Due to the potentially short life of certain
     land treatment units, the owner/operators of units that have
     not demonstrated satisfactory treatment should be requested to
     consider closure of their land treatment unit.  As stated in
     OSWER Policy Directive 9486.00-2 (Reference 6), any Part B defic-
     iencies should be addressed quickly.  Only one Notice of Deficiency
     should be necessary for the applicant to submit a complete applic-
     ation.  If they are unable to quickly correct the deficiencies,
     the Region should consider permit denial.

6) Presence of High Hater Table in Limited Areas of Onit

     During a land treatment demonstration, a land treatment unit was
     observed to have two central areas that had a seasonal high water
     table within 3 feet of the treatment zone.  The  facility proposed
     to use a pumping system to lower the water table.

     While the treatment zone in any land treatment unit,  per S264.271
     (c)(2), must be at least 3 feet above the seasonal  high water
     table, a costly pumping system is not the only alternative to
     achieve this standard.  The facility nay clean up the areas with
     a high water table and discontinue their use  for the treatment of
     waste.  Clean up entails the removal of soil  from these  areas and
     placement of the soil in the active treatment unit.  NSW soil should
     be replaced in these areas and the areas  should be fenced off.  In
     effect, this land treatment unit could  be operated as two smaller
     units separated by the high water tabH artas.

7) issuance of on immediate Pull-Scale  Facility Permit

     A facility with an existing interim status land treatment unit
     s^Bittad a carefully prepared, complete land treatment demonstra-
     tion m pact of their permit  application.  The demonstration
     addressed all the requirements of Subpart M - Land Treatment,
     identifed all the potential problems encountered at  the unit  and
     provided measures that will be implemented to correct these problems.
     Because the demonstration addressed all Agency  rtquirsmtnts,  the
     issuah* * of « ruli  grating permit was rtcommended  instead  of a
     two-phase permit.    -
                              - 8 -

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                                            OWES Policy Directive NO. 9523.00-
Permit l
     1) Joint Permitting by EPA and a State

          Facilities located in a state which has been authorized for  the
          RCRA 'base program1, but not the HSWA provisions, may currently be
          issued  joint  State and Federal permits which together constitute
          the "RCRA permit".  The State prepares the portion of the permit
          covering non-HSWA matters.  EPA should incorporate the HSWA  provisions
          into the State issued permit or, if necessary, EPA may issue a
          separate permit for HSWA requirements.  In instances where a new
          facility has  a joint permit, the permittee must be informed  that
          construction  cannot begin until both the State permit and the EPA
          HSWA permit are issued (either jointly or separately) .

     2) Use of HSWA Omnibus Provision to Incorporate Land Disposal Restrictions
        in Permits

          A Region prepared a draft permit in which they used the 'omnibus pro-
          vision' ($3005(c) (3)) to incorporate proposed larid disposal restriction:
          as a permit condition.  The 'omnibus provision1, as stated in the
          preamble to the December 1, 1987 final codification rule  (52 PR 45788)
          gives EPA the authority to impose permit conditions above and~beyond
          existing regulatory requirements if the current  requirements are
          inadequate to protect human health and the environment.

          The self-implementing HSHA provisions, such as the land disposal
          restrictions, supersede the $270.4 provision  (i.e., "permit as a
          shield")  which states that compliance with a RCRA permit  constitutes
          compliance with Subtitle C.  Therefore, the land disposal restrictions
          apply regardless of whether or not they are included  in  the permit.
          OSHER Policy  Directive No. 9522.00-1  (Reference  3) clarifies  the self-
          implementing  requirements of HSWA.

          To simplify enforcement and to clarify the duties of the owner/
          operator, however, the PAT recommends that permits  issued after land
          ban or  other  self- implement ing HSWA regulations  incorporate the
          requirsmnts  of those regulations, as they apply to the specific
          facility,  in the case under discussion,  since the restrictions rule
          mm only proposed at the  tine, the PAT recommended that the
          pssMt  not contain specific conditions for  these restrictions due
          t0 tt»  likelihood of changes  in  the  rule.

    3) Editing- off Permit Content prior to Issua

         Several  Regions have prepared draft permits with unedited portions
         of  the permit: application appended to the permit, unedited attach-
         ment T«T cr"  esrrjpona yiith w*:- -"'ding in the body of the permit
         5rJ aomc sections may be contiidictcry a go**«i* ret* l.cmants  ;..
         the permit,   Pswifc conditions need to be precise.
                                  - 9 -

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                                                   Policy Directive No. 9523.00-
          Appending Part B sections that are not relevant to the permit nay
          Bean that any operational changes affectinq subjects within those
          sections, however insignificant, may reouire a permit modification.
          The PAT recommends that all portions of the permit be reviewed  for
          "applicability, importance and clarity."

     4) Permit Language

          A permit prepared for a container storage area stated that the
          permittee can "store a maximum of 600 drums in the container storage
          area".  Because the permit is an enforceable document, the permit
          language must be precise.  This statement isplies that the only
          containers to be stored at this facility will be drums.  The language
          should reflect all the types of containers to be stored at this
          site.

     5) Methods for Establishing Background

          The use of the minimum detection limit  (HDL) to .establish background
          as a ground-water protection standard is an acceptable method.
          However/ the permit should reference the appropriate  analytical
          methods in SW-846 (Reference 13) and specify target detection
          limits.  The new list of Appendix IX to Part 264 includes suggested
          methods and practical quantification limits (See Reference 4).

     6) Permit Condition for Corrective Action Site Investigation

          A facility has several abandoned waste  disposal ponds (SWHOs)
          from a previous owner.  Based on the results of the RCRA Facility
          Assessment, the units to be evaluated in the facility's  RCRA Facility
          Investigation (RPI) should be specified as a permit condition.

          Any comoonents required in the RPI, such as the characterization of
          the nature and extent of contamination/ the definition of pathways
          for migration/ the identification of areas threatened by releases  and
          the evaluation of interim measures, should alto be specified in the
          permit.  The draft document, RCRA Facility  Investigation (RPI)
          Guidance, July 1987 (Reference 9) should be consultecT

          A site investigation could identify, a release that does not require
          ilsMiate remedial measures because it is  not currently a threat to
          txsssft health or the environment, but  has the potential to become a
          threat in the future,  corrective actions under $3004(u) should not
          be limited to releases that already pose a threat.   The monitoring
          of such a release for a  reasonable  period of tine would be an
          appropriate permit condition.

Corrective Action

     i; notation of the Point rt Compliance Wells

          Under Subpart ?, once ground-water contamination  if detected  from
          any regulated unit, the  owner/operator is required to establish a


                                   - 10  -

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                                              Policy Directive NO. 9523.00-:
     ground-water protection standard as described in S264.92.  The point
     of compliance  (POC) must be established directly downgradient of  the
     regulated  unit(s).

     POT corrective action programs under HSWA, however, specific monitor-
     ing wells/ which were installed as part of the site investigation,
     may be  designated as POC wells. The POC wells for non-regulated  solid
     waste management units should be identifed in the HSWA portion of
     the permit.

2) Treatment Reouirements for Ground water Removed During Corrective  Action;

     Permits including corrective action conditions for ground-water
     treatment  programs must not only include pumping and removal r ecu ire-
     men ts but  must specify treatment standards or methods of handling
     contaminated ground water.  Although ground water itself is not a
     hazardous  waste, ground water that contains hazardous waste leachate
     must be managed as if it were hazardous waste since the leachate
     is  subject to  regulation under Subtitle C.  Once, the ground water
     is  treated such that it no longer contains a hazardous waste, the
     water is no longer subject to Subtitle c regulation.  See the neao-
     randum  from OSW to Region IV, "RCPA Regulatory Status of Contaminated
     Ground  water", November 13, 1986 (Attachment D).

3) Selection of Appropriate Treatment Technologies

     A facility proposed a corrective action program where contaminated
     ground  waiter was treated by air stripping*  One of the organic con-
     taminants, methyl isobutyl ketone  (MIBX), is extremely soluble in
     water and  may  not readily volatilize from aqueous solutions.

     The  degree to  which a contaminant  leaves  the water phase and enters
     the  air phase  is dependent on the  design  of the system employed  and
     on a combination of physiochenical characteristics.   A substance's
     solubility in  water and its vapor  pressure are key factors  for
     determining whether a substance is amenable to air stripping.   MIBK
     tends to rsoain in the water phase instead of being released  into
     the  air phase. Therefore, HIBX may not be a good candidate for  removal
     from ground water by the air stripping Mthod presented by the owner/
                   technology that if approved as part of the corrective
              At a facility must be based upon the type of contaminants
     found', tho level of contamination, and the technology's ability to
     meet the treatment standard.

4) Evaluating Air  Emissions from Treatment units
     Some treatsanfc  e^irxuggies oo not destroy Cc?fea«iMnu.  *ul
     „..«*. trc« one medium, such 2* ground water, and then release  tn«m int.:
     a second  medium,  such as air.  Air emissions frca treatment unit*,
                              - 11 -

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                                             Policy Directive HO. 9523.00-


     particularly those resulting from air stripping and other air release
     technologies, should be considered by the permit writer before approvi
     a corrective action plan.   The owner/operator should be required to
     determine stack emission rate estimates as well as perform dispersion
     modeling in order to determine if air emission controls are necessary.

     While volatile organics released to the air via air stripping are not
     hazardous waste, releases of hazardous constituents to the air from
     hazardous waste management or solid waste management units are subject
     to corrective action authorities.  The permit  (or a 3008(h)  order)"she
     address contamination of both the around water and the air resulting
     from waste management at the facility as necessary to protect human
     health and the environment.

5) Use of Field Studies in Approving Bnerging Technologies

     A facility proposed to clean up contaminated soil with an in-situ
     bio-reclamation technology.  When a facility proposes to use an
     emerging technology, such as insitu treatment, which depends
     upon site specific conditions, it is best  to  require a pilot scale
     field study which is separate from any laboratory test.   Experience
     at Superfund sites has shown that methods  that work well in the
     laboratory may not work well in the field.  The  reverse  may also be
     true.  In lieu of any specific Agency guidance,  the PAT  will be able
     to provide assistance when evaluating  the  results of  field studies.

6) Verification Monitoring

     Ontil HSWA corrective action policy on monitoring is  established,
     ground-water monitoring to verify that the ground-water  protection
     standards determined for hazardous constituents released from SWWUs
     have been achieved under a HSWA corrective action should be similar
     to existing monitoring requirements  for compliance with ground-water
     protection standards at regulated units.   Thia monitoring should
     include quarterly sampling and analysis of the POC wells for all the
     contaminants specified in the ground-water protection standard.  Flex-
     ibility, however, can be included in the HSWA corrective action permit
     After the first few years, for example, a different monitoring scheme
     may be appropriate.                  -

     the permit may also include requirements for monitoring of  Appendix
     ZZ enstituents "reasonably expected to be in or derived  from the
     wasfeo* in the SNKJs.  The  frequency of such monitoring  (e.g.,
     aomwlly) should be included  in the permit.

7) TendaotiOR of B*A corrective  Action Programs
     Corrective action program for releases from regulated units can be
     terminated when the ground-water protection standard has not been
     exceeded for three consecutive ycate  'S2f4.it/uirM.  This approach
     can also bt applied -i t£~« con.Active action £?*mits.  T*  8S«?\
     ^' r<-, ftowever, may also include 4 technical feasibility clause.
     When the maximum possible reduction of contaminants from the ground
     water has been achieved and »l* media (ground water) protection
                             -  12  -

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                                             08«R Policy Directive NO. 9523.00-


           •tandard is still being exceeded, further use of that technology »y
           not b» retired.  At that point, if no other technology or combination
           of technologies will achieve any additional reduction in contaminant
           levels,  the corrective action program could be terminated.

 Miscellaneous Topics

    Disposal  of Non-hazardous waste in RCRA Regulated Units Waiver Reouest
    for Liquid in Landfill Restrictions

     A facility wished   to dispose of non-hazardous dredge material  in a
     landfill that was undergoing closure after the loss of interim
     status.   The facility sought a waiver under 53004(c)(3), contending
     that  there is no alternative disposal site and that the liquid
     condition of the dredge material will not present a rink of contam-
     ination  to any underground source of drinking water.

     The owner/operator  did not meet the reouirement of 53004(c)(3)(A)
     which requires the  demonstration that no reasonably available altern-
     ative exists  other  than placement in their closing landfill.   The
     facility based their contention of no available alternatives on the
     refusal  of neighboring states to accept the dredge material without
     dewatering.   The facility did not adequately investigate all altern-
     atives,  such  as the deposition of dredge material in  a sanitary land-
     fill, which is considered to be an available alternative based upon
     the statutory Interpretative Guidance of April 1986  (Reference 12).

     The determination of 'reasonably available1 also involves technical
     and engineering considerations.  A dewatering option  was never
     thoroughly evaluated.  If the dredge material could be dewatered  to
     pass the Paint Filter Liquids Test, the restriction  in 53004(c)
     would not  apply.  The disposal of nonhazardoua waste  in a landfill
     that has lost interim status, however, is discouraged by Agency
     policy.  As stated  in Gene Lucero's meaorandun of December  20, 1985
     (Reference 1), the  receipt of non-hazardous waste  is acceptable
     only if  it doto not delay closure.

Criteria for  the Referral of Facilities to the Agency for Toxic  Substances
and Disease Registry (ATSDR) under S3019

          Dirt* facilities, each  in different Regions,  have ground-water
          contoinaition  that has migrated  off-site.   Releases at two of  these
          facilities have contaminated residential wells.  At the third
          facility wnile direct exposure  to contaminated ground water has not
          been dccuuented, public concern about potential exposure is extreme.
          Due to tho history of contamination at these sites, the off-site
          migration, and the promixity of the public, the assistance of
          the Agency for Toxic Substances and Disease Registry (ATSDR) is
          warranted.   -

          These sites were  K*fr:  -ad tw >uauR for a "health consultation*.
          \ haaXfch e&nsuitation by the ATSDR enable* .. Jfegion to determine
          what information should be gathered (e.g., during a ROU Facility
          Investigation) to allow the ATSDR to undertake  a nore detailed


                                   - 13 -

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                    Policy Directive NO. 9523.00-1

- 14 -

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                                  Policy Directive NO. 9523.00-
            Attachnent A
PAT Reviews Included 1n this  Summary
Facility
American Cyan amid
Ashland Chemical Co.
B.F. Goodrich
DOM Chemical
Fondessy Landfill
G.E. Waterford
Highway 36
International Paper Co.
IT Corporation
Lion Oil
McDonnell -Douglas
Mills Services
Ross Incineration Services
Shell Oil
United Technologies/
Hamilton Standard S1U
Union Carbldt
U.S. Pollution Control, Inc.
U. S'. Stetl
Region
II
V
IV
V
V
II
VIII
IV
V
IV
VI
II
V
X
I
II
VI
V
PAT Coordinator
Chris Rhyne
Janette Hansen
Robert Kayser
Robert Kayser
Chris Rhyne
Chris Rhyne
Mark Salee
Dave Eberly
Janette Hanseir
Janette Hansen
Robert Kayser
Chris Rhyne
Nestor Avlles
Amy Mills
Janette Hansen
Robert Kayser
Chris Rhyne
Nestor Avlles
* *
Robert Kayser
Davt Eberly
Jantttt Hansen
Oavt Eberly
Review Date
January 1987
January 1987
November 1986
March 1987
November 1986
December 1986
November 1986
March 1987
January 1987
February 1987
September 1986
» February 1987
March 1987
February 1987
April 1987
April 1987
February 1987
March 1987

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                                                     Policy Directive HO. 9523.00-1
                           Attachment B
         List of Guidance Oscd  in Preparing the PAT Reviews   '
 1.   "Accepting Nonhazardous Wastes After Losing Interim Status",
      Memorandum Gene Lucero, December 20, 1965.
 2.    Draft Guidance Document:  Landfill Design—Liner Systems ard
      Final Cover,  (Chapter E only), July 1982.
 3.    Effect of Land Disposal Restrictions on Permits, Effective
      Date  9/15/86,  Directive No. 9522.00-1.
 4.    Federal Register, vol. 52, 25942.
 5.    Permit Guidance Manual on Hazardous waste Land Treatment
      Demonstrations, July 1986.
 6.    Permitting of  Litnd Treatment Units:  EPA Policy and Guidance
      Manual on Land Treatment  Demonstration, Effective Date 9/17/86,
      Directive 9486.00-2.
7.    Permit writer's Guidance  Manual for Hazardous waste Land
      Treatment,  Storage and Disposal Facilities, October 1983.
8.   Procedural  Guidance for Reviewing Exposure Information under
     RCRA  section 3019, September 1986, Directive No. 9523.00-2A.
9.   RCRA  Facility  Investigation (Rfl) Guidance, Draft, April 1987.
10.   RCRA Ground-water Monitoring compliance Order Guidance, August
     1985.
11.   RCRA Ground-Wfctejr Monitoring Technical Enforcement Guidance
                         19M, NTIS NO. PB87-107751.
12.  Statutory>»t«rprttative Guidance of April 19M,  April 19*6.
13.  Jest Method* for Evaluating solid Waste,  SW-846,  March 1987.

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                                              QSNER Policy Directive NO. 9523.00

                                  Attachment C

            Ac CMS to HELP Nodtl  User Guide and Software

User Guides

Hydrolo$*c Evaluation of Landfill Performance. Vol.  I   NTIS  PB85-100-840

Hydrologlc Evaluation of Landfill Performance, Vol.  II  NTIS  P885-100-832


Software

c/o Or. Paul Schroder     (601) 634-3709
    Environmental Laboratory
    Waterways Experiment Station
    P.O. Box 831
    Vlcksburg. Miss. 39180

Send 6 formatted blank discs

-------
                                    03W Directive Mo. 9523.00-17
               UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                          WASHINGTON. O.C.  20460
s
                                                   SOUO WASTE ANO EMEBGENC'' a-S"C\«
 MEMORANDUM

 SUBJECT:  Summary of  Assistance  Branch Permitting Comments
                                                i
 FROM:
Sylvia Lowrance, DirectorAvA   f\
Office of Solid Waste (05-3^0)
 TO:       Hazardous Waste  Management  Division Directors
           Regions I-X

                                                        _/

     Attached is the fourth in  a  series  of  periodic  reports
 which summarize major  issues  that  Assistance Branch members
 have addressed in their  reviews  of specific  Part  B  applications,
 permits and closure plans.   (These reports were  formerly  called
 the "PAT Summary Reports";  previous reports  were  issued  in
 March 14, 1986 -(OSWER  Policy  Directive  No. 9523.00-14),
 March 30, 1987 (OSWER  Policy  Directive  No. 9523.00-12),  and
 March 30, 1988 (OSWER  Policy  Directive  No. 9523.00-15)).  These
 reports cover  issues that  are  of generic national interest
 rather than strictly site-specific interest.  The attached
 report includes reviews  conducted  by  the Disposal and
 Remediation Section and  the Alternative Technology  and Support
 Section from January 1987  to  March 1988.  In order  to ensure
 that the report reflects current EPA  policy  and guidance, we
 obtained review comments from  within  OSW and from the Office  of
 General Counsel..

     We hope that the recommendations  provided in  this document
 will be helpful for permit writers encountering  similar
 situations at  other RCRA facilities.  By sharing  the Assistance
 Branch's suggestions from  a few  sites,  we hope that permit
 decision Baking will be  somewhat easier and  faster  at many  more
 sites nationally.  We  encourage  you to  distribute this report to
 your staff and State permit writers.  To make that  easier,  I
 have attached  multiple copies  of the  report.

     Attachment A to the  report lists  the facility names,
 Regions, coordinators, and dates for  the reviews  summarized in
 t.Ms report.   Attachment B provides a list of guidance document
 sr.d diirsc Lives asa^ in preparing the  reviews.

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                                        OSW Directive No.  9523.00-17
                               -2-
    If you have any questions, comments, or suggestions on the
Summary of As«istance Branch Permitting Comments, please contact
James Michael at FTS 382-2231.
Attachments

cc:  RCRA Branch Chiefs
       Regions I-X
     Permit Section Chiefs
      Regions I-X
     J. Winston Porter
     Jack McGrav
     Tom Devine
     Jeff Denit
     Bruce Weddle
     Susan Bromm
     Ken Shuster
     Joe Carra
     Jin O'Leary
     Suzanne Rudzinski
     Elizabeth Cotsvorth
     Jim Michael
DRS Staff
ATSS Staff
Paul Cassidy
Les Otte
Art Day
Jim Bachmaier
Elaine Stanley
Lisa Friedman
Tina Kaneen
Fred Chanania
Matt Hale
George Garland
Tom Kennedy (ASTSWMO)

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                              OSW Directive No. 9523.00-17
                 Of  AS!	
                        Table of Contents
          Topic                                               Page
Issue Resolution                                                 ±
     Ancillary Equipment on Tank Systems                         1
     New Tank Systems                                            2
     Variances for Classification as a Boiler                    3
     Incinerators                      ^                          6
     Land Disposal Expansions                                    6
     Waiver Petitions for Minimum Technology Requirements        8
     RD&D Permits                                                9
Recommendations                                                 11
     Tank Systems                                               11
     Incinerators                                               11
     Ground-water Monitoring                                    13
     Ground-water Modeling                                      14
     Landfill Design                                            15
     Permit Condition*                                          16
Availability of New Guidance                                    17
Attachment A - Staff Reviews Included  in this Summary           18
Attachment B - List of Guidances Used  in the Summary            19

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                                    OSW Directive No. 9523.00-17

          SUMMARY OF ASSISTANCE BRANCH PERMITTING  COMMENTS

                     January 1987 - March 1988


    This is fourth  in a series of documents summarizing some of
the comments provided to Regional permit writers by staff of
OSW's Asssistance Branch on permitting.  It was formerly called
the "PAT Summary Report11.

    This summary is organized  into three sections.  The first
section, Issue Resolution, provides examples of issues that have
been raised at one  or more facilities.  This section covers
special situations  where regulations or policy decisions were
applied to actual circumstances.  The second section,
Recommendations, addresses comments routinely made to answer
questions on items  often overlooked or poorly understood, and to
convey technical information.  This section should be generally
helpful to the permit writer.  Finally, there is a section
describing new guidance that may be of interest to the Regions.


ISSUE RESOLUTION

Ancillary Equipment on Tank Systems

 1)  Secondary Containment for Flanges and Joints

     Threaded joints and flanges used in tank system piping vary
     widely.  Frequently, the  Assistance Branch staff is asked
     to clarify if  a specific  design  is exempt from the
     requirement for secondary containment.

     An owner/ opera tor asked if a joint consisting of a flange
     bolted to a second flange is required to have secondary
     containment.   Bolted flange joints, that are above ground
     and inspected  daily, are  not required to have secondary
     containment; however, the completed and installed system
     must b« tasted for tightness prior to use.

     Secondary containment is  intended to apply to any threaded
     joint system,  including threaded joints fabricated of
     special materials such as teflon or plastic.  Any joint
     where waste may come in contact  with the thread must have
     secondary containment.

 2)  ^sconc^ry Cohtair^ent for Ancillary Equipment
     A. facility submitted  a  design  twr *  secondary  conta:-~ -^r
     system for the waste  lines entering  a neutralization tank.
     Th« proposed secondary  containment system was  an  existing

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                              OSW Directive No.  9523.00-17

                               -2-

     trench that conveyed non-hazardous wastewater to the same
     neutralization tank.  The Assistance Branch was asked to
     determine if the existing trench was acceptable as
     secondary containment.

     The hazardous waste pipe was to be suspended over the
     existing trench which was adequately sized to contain both
     the flow in the pipe, should a leak occur,  and the maximum
     volume of wastewater.  Secondary containment, however, must
     be dry in order to detect any leaks from the hazardous
     waste line.  Once a release is detected, any waste must
     then be removed.  The proposed system, therefore, was not
     acceptable.

     The facility modified its proposal to include a dry trough
     below the hazardous waste pipe.  The second proposal met
     the full intent of the secondary containment requirement
     and was deemed acceptable.


New Tank Systems

1)   The Status of New Tank Systems at Facilities Permitted
     between the. Promulgation and Effective Dates of the New
     Tank System Regulations

     Any tank system installed after July 14, 1986 is, by
     definition, a new tank system.  About six months fall
     between this date and the effective date of the revised
     Federal regulations (January 12, 1987).  For tanks subject
     to RCRA standards but not HSWA, this time lapse is even
     more pronounced in States that had pre-HSWA authorization
     and have additional time to adopt equivalent tank system
     regulations.  Can permits issued during this time lag
     reflect the intent of the revised tank regulation?

     In the case of a State-issued permit, the permit must
     reflect the State statutory or regulatory requirement in
     effect prior to final permit disposition.  If a State has a
     regulation analogous to Section 270.41(a)(3) (Reference  5)
     the Director can modify a permit in order to include new
     statutory requirements or regulations applicable to the
     permit upon the effective date of the legal authority.
     Thus, a permit issued for a tank system can be modified  to
     reflect- the r*»':iz4»d standards when they go into  effect.

     After vNa permit moaificatioi., *w *»*.„ sy»t*m  installed
     af'cer July 14, 1986 would be considered & "new"  tank  system
     wMcli must have secondary containment.  The phase-in  period
     ii.lowed for 'existing1 tank systems would not apply.

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                             OSW Directive No. 9523.00-17

                               -3-

     The State Director has the option to use a State law
     analogous to the "omnibus provision" (Section 270.32(b)(2))
     to reflect the requirements of the regulations during this
     lag time.  OSWER Policy Directive #9523.00-15 (Refer  ence
     11) clarifies when to use the (Federal) omnibus provision.

     It should be noted that new underground tanks are regulated
     under HSWA.  At this time, no States are authorized to
     apply these requirements.

Variances for Classification as a Boiler

     The Assistance Branch was requested to determine if
     specific units which do not meet the definition of boiler
     were eligible for a variance to be classified as a boiler
     under Section 260.32.  Two proposals were reviewed and the
     following issues were specifically addressed.  An
     evaluation of all the applicable criteria, however, was
     conducted in each case prior to making the final
     determination.  At both facilities, the inability of either
     unit to meet any of the criteria for classification as a
     boiler supports the final determination that these units
     are not eligible for a variance.

1)   Integral Boiler Design of the Combustion and Energy
     Recovery Sections.

     In order for a controlled flame combustion unit to meet the
     definition of a boiler given in Section 260.10, the
     combustion chamber and the energy recovery section must be
     of integral design.  Two facilities have units which they
     refer to.as "post-combustion chambers" located between the
     combustion section and the energy recovery section.  The
     post-combustion chambers are insulated flow passages
     between the main combustion chamber and the heat recovery
     section.  The owners of these units requested variances.
     They contend that these passages are not ducts or other
     connectors which, as stated in the regulations, are not
     permissible as components between the combustion and energy
     recovery sections in units which meet the integral design
     requirement of a boiler.

     The owners assert that additional thermal oxidation of
     wastes occurs in the post-combustion chambers, providing
     high hazardous waste destruction, and  that combustion
     therefore con*.lnu«s* until the 7*»«* reach the energy
     rtcove**y ^action.

     The oxidation of additional waste products,  hovever, does
     not mean that combustion  occurs.  Combustion,  as defined

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                              OSW Directive No. 9523.00-17

                               -4-

     in Webster's New Collegiate  Dictionary,  is a  specific
     process which is "accompanied by  the  evolution  of  light  and
     heat".  In fact, information on the performance of these
     units showed a net loss of heat over  the length of the
     chamber instead of a heat gain as would  occur during
     combustion.   The conditions  in the chamber that promote  the
     oxidation of trace organics  is part of a good incinerator
     design.  The Assistance Branch found  that these units  do
     not meet this criteria for a boiler.

2)    Integral Boiler Design Based Upon the Operation of a
     Control System Between the Combustion and Energy Recovery
     Sections

     40 CFR Section 260.10,  which defines  boilers, provides an
     example of units that do not meet the integral  design
     requirement as units "in which the combustion chamber  and
     the primary energy recovery  section(s) are joined  only by
     ducts or connections carrying flue gas..."  An
     owner/operator maintained that his unit  was a boiler •
     because the combustion section was "connected  to the energy
     recovery unit not only by a  duct  but  by  a control  system as
     veil. The Assistance Branch  evaluated the owner's
     contention that his unit was a boiler.

     The control system in this unit does  connect  the steam
     raising portion with the combustion chamber.  The  control
     system, however, was designed for safety purposes  to reduce
     the risk of explosion and other unsafe conditions.  Under
     unsafe conditions this type  of automatic control system
     would shut the unit down.

     True boilers have control systems designed to regulate
     steam output.  Boiler control systems would typically
     provide at least a 3 to 1 turn down control on  steam
     production by varying the fuel, air and  water.   When
     evaluating the appropriateness of any unit to meet the
     definition of a boiler, the  common and customary usage of
     similar units is important.   The  lack of steam  control by
     this unit's control system is typical of incinerators.  The
     Assistance Branch noted that the  lack of a true boiler-
     control system supported the denial of the boiler petition.

 3)   Variance Petition under Section  260.32  for Classification
     as a Boiler Based upon Innov*t:ve Design of  the Unit
     V-i 
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                              OSW Directive No. 9523.00-17

                               -5-

     the boiler classification variance was meant to allow for
     new or unusual units which EPA did not have the opportunity
     to consider when developing the boiler definition.   During
     the review of the petition, the Assistance Branch evaluated
     the performance of the innovative component in order to
     determine if it was significantly different from that of ~
     the current technology.

     The innovative component was the insulation around the
     post-combustion chamber.  The insulation was constructed of
     8 inches of compressed refractory material installed by a
     unique, soon to be patented process.  The owner of the unit
     and the designer of the process stated that the use of this
     material was innovative.

     The performance of the insulation was both theoretically
     and practically evaluated.  Actual performance was
     considerably less than what was anticipated from the
     theoretical calculations.  Based on the theoretical heat
     transfer calculations, the performance of the innovatively
     applied insulation was not significantly better than that
     for insulation designed and installed according to current
     incinerator industry standards.  While the installation
     technique for the insulation may be "innovative", the
     insulation process did not provide any improvement over
     current practice.  Thus, even though the insulation was
     different from the type normally used, the difference was
     deemed insignificant since it achieved results similar to
     conventional insulation.

4)   Thermal Efficiency Requirement for Boilers

     Section 260.10 states that any "boiler" must "maintain a
     thermal energy recovery efficiency of at least 60 percent".
     As part of a: demonstration to support a waiver petition
     for classification as a boiler, a unit was described as
     operating with a 65% energy recovery.  The Assistance
     Branch evaluated this claim.

     The unit in question is not able to measure the  fuel flow
     rate and the waste addition varies by 50 percent,  without
     appropriate documentation, the thermal efficiency data is
     unsupported.  The determination of boiler efficiency should
     be conducted under controlled conditions  following one of
     the methods certified by th» .\z«»ricar. Society of Mechanical
     Engineers.

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                              OSW Directive No.  9523.00-17

                               -6-

Ine;Ln«rators

1)   Use of Thermal Relief Vents

     Design drawings  in a permit application for a new
     incinerator included a thermal relief vent between the
     combustion chamber and the air pollution control
     equipment.  The  Assistance Branch was requested to
     determine if the use of a vent to bypass the air pollution
     control equipment should be allowed.

     The thermal relief vent was proposed to protect the air
     pollution control equipment from excessive heat during
     emergency situations such as failure of power and water
     cooling systems.  OSVTER Policy Directive 19488.00-3
     (Reference 1) discusses the acceptability of these vents in
     new incinerators.  Indiscriminate use of relief vents is
     deemed to be a violation, however, EPA has recognized that
     they may occasionally be needed to protect employees and
     air pollution control equipment.  Thermal relief vents,
     therefore, are allowed in the design of new incinerators.

     The permit, however, should require the design to include
     the necessary backup systems to reduce the use of these
     vents.  The system should have interlocks such that the
     vent can only open after the waste feed has been cut off.
     The operating plan should include a list of parameters and
     cut-off points at which the vent may be used.  A review of
     the permittee's  operating plan should be made to identify
     and eliminate the use of the thermal relief vent in
     situations where it may not be absolutely necessary.


Miniquj Technology Requirements for Vertical and Lateral
Expansions

1)   Application of Minimum Technology Requirements to Vertical
     Expansions .

     A facility planned to expand its landfill vertically.
     During the. public comment period on their draft permit, the
     applicability of minimum technological requirements to such
     an expansion was raised.  The Assistance Branch was
     requested to evaluate the issue.
     The facility opened  the  l-uat^Ii  clench in question  1   I.7S
     under ?? ?^C£ permit.   Currently t:v« unit accepts RCRA  waste
     u.»uer interim status.  The pro{ jsed vertical  expansion
     would not exceed  the capacity  of  the unit stated in  the
     Part A application,  and  thera  are no limits in the

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                              OSW Directive No.  9523.00-17

                               -7-

     existing permits on the elevation of RCRA wastes placed in
     the unit."  The proposed expansion will extend 21 feet
     vertically above the original grade limitation for TSCA
     wastes; however, no waste will be placed beyond the
     existing lateral boundaries.

     The Assistance Branch found that the proposed vertical
     expansion is permissible without meeting the minimum
     technological requirements because: (1) The proposed
     vertical expansion does not exceed the unit boundaries; and
     (2) The landfill was in use and operational prior to the
     date of the enactment of HSWA, therefore, the above-grade
     expansion does not fit the definition of a new unit.

     May 1985 guidance (Reference 4), however, states that a
     vertical expansion beyond any hazardous waste permit
     capacity or elevation limits affects the operational status
     of the unit.  If the operation of the unit was limited on
     November 8, 1984, a subsequently proposed vertical
     expansion would constitute a "new unit1* and is subject to
     minimum technology requirements.  This facility has no
     vertical RCRA hazardous waste permit limits; therefore, the
     minimum technology requirements do not apply to this
     vertical expansion.

2)   Lateral Expansion During Closure.

     After a RCRA Facility Investigation (RFI), an
     owner/operator planned to close several solid waste
     management units by consolidating the waste from two waste
     soil piles with the residue in a surface impoundment
     regulated under interim status.  The volume of the
     resulting waste mixture is estimated to exceed the existing
     capacity of the impoundment.  The Region was concerned that
     the proposed closure plan would not be permissible.

     The consolidation of waste material is an acceptable
     closure activity. If the proposed consolidation
     necessitates the placement of any hazardous waste beyond
     the boundary of the regulated unit or beyond any limits
     imposed by a RCRA permit since November 8, 1984, the action
     results in a lateral expansion which must meet the minimum
     technological requirements.  Moreover, if the consolidation
     into the surface impoundment occurs after November  8,  1988,
     the surface impoundment mus* me*t -•^•••'jawufl t- ihnoioqy
     requirements.  Final?", if *fmst,. trom any o:! the units
     being placed u. wiie impoundment are sut-j«ct to the  land
     -iiaposai ban, then the waste may not be placed  in the
     impoundment unless it is treated in accordance with 40 CFR
     268 Subpart D or the owner/opera tor has sucess fully
     petitioned under 40 CFR 268.6.

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                              OSW Directive No.  9523.00-17

                               -8-

Waivar Petitions from Minimum Technological Requirements -
3004ro)f2)

     A facility may petition for a waiver from minimum
     technological requirements under Section 3004(o)(2) if
     their alternate design and specific operating practices,
     when viewed in combination with the characteristics of the
     site location, will prevent the migration of hazardous
     constituents into ground or surface water as effectively as
     the required design.  The Assistance Branch is often asked
     to evaluate facility specific factors to see if they meet
     the conditions of the waiver.  During two recent
     evaluations, the following issues were raised.

1)   Minimum Technology Waiver Petition due to Alternate Design
     and Operational Factors

     An owner/operator of an existing surface impoundment
     proposed to install a liner system consisting of a 36-ml
     hypalon sheet over a leachate collection system constructed
     o*er two existing 4-inch layers of bentonite separated by a
     drainage layer.  The owner contends that this design is at
     least as effective as the minimum technology requirements
     (NTR).   The MTR specify a 36-inch clay layer because a
     liner of such thickness would be constructed by the
     placement of several clay lifts.  Discontinuities in an
     individual lift would be unlikely to occur in the same area
     on subsequent lifts.  The existing 4-inch layer is applied
     in one lift and does not provide any safeguard over any
     irregularities that might allow leakage.

     While the new design alone was insufficient, the
     owner/opera tor also planned to use operational factors
     which he claimed would make the alternate design as
     effective as the minimum technology requirements.  The
     impoundment has a limited life span with planned closure in
     1989 which makes the unit a short-term operation.  The
     leachate system does not show any evidence of a leak, and
     no ground-water contamination has been found.  If a leak
     were to occur, the owner plans to drain the  impoundment.
     While the liquids stored in the impoundment  are listed
     hazardous wastes, they do not exhibit any of the
     characteristics for which the wastes were listed.  The
     Permit Assistance Staff recommended that the waiver be
     granted contingent upon the short-te—•• c-^a*!-. of the
     unit.

 2)  tfai"^? Pe^".tion Demonstrating Design  and Operating
     Practices which Prevent Migration

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                              OSW Directive No.  9523.00-17

                               -9-

     A facility petitioned for an alternate design and operation
     approach that prevents the migration of contaminated ground
     water from under the unit.  The Assistance Branch was asked
     to determine if the proposed design met the intent of the
     3004(o)(2) waiver provision.

     The owner of the surface impoundment proposed to install
     intragradient cut-off walls downgradient of th*ir surface
     impoundment.  The collected, contaminated ground water
     would be removed from behind the walls and treated.
     Migration of contaminated ground water beyond the waste
     management area, therefore, would be prevented.

     Section 3004(o)(2)  allows a waiver only if the owner can
     demonstrate that the proposed alternative will "prevent the
     migration of any hazardous constituents into the ground
     water".  The term "ground water" is intended to mean any
     ground water and not ground water beyond the waste
     management area.  In order to meet the equivalency test
     required by this waiver, the alternate liner design must be
     as effective as the minimum technology requirements for
     liner design in preventing the migration of any constituent
     through the liner.   The Assistance Branch recommended
     denial of this waiver request.

RD&D Permits

 1)  Qualifying for a RD&D Permit for an Incinerator

     Research, development and demonstration permits, regulated
     by Section 270.65,  were intended to be available for
     processes and units which treat hazardous wastes with
     innovative technologies.  Several Regions have received
     applications for RD&D permits for technologies already
     established for treating hazardous waste and which are
     specifically regulated elsewhere under RCRA.  The
     Assistance Branch was asked to determine if incinerators,
     in particular, could be eligible for a RD&D permit and
     under what circumstances they would qualify.

     The purpose of RD&D permits is to produce data on technical
     or economic feasibility of experimental processes or
     technologies; however, existing treatment methods may
     qualify if the permit is intended to allow treatment of
     waste streams not previously treated by this ty"«  -r uiv
     or if the operating conditions won1-4 be modified  for
     diifsxter.t or expanded 'ds»~  _ -»*• technology.  Th*
     Assistance Fr.'irtch.,  after discussion with the Office  of
     General Counsel, clarified  that incinerators  are eligible
     for RD&D permits (Reference 8) if they further

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                             OSW Directive No. 9523.00-17

                              -10-

    knowledge on treatability, design and/or combustion
    research "through experimental (but not commercial)  research
    applications.

    In one such instance, a research facility applied for an
    RD&D permit for an incinerator and they proposed to conduct
    a study on the products of incomplete combustion (PICs)
    from incinerators.  They also proposed to produce a
    biological system study on the fate and transport of Pics
    in the environment.  The results of these proposed studies
    would add to the body of information on the characteristics
    and quantity of residuals emitted from incinerators.  Based
    upon the proposed study of the effects of PICs on
    biological systems, the proposed incinerator was determined
    to be eligible for a RD&D permit.

2)   Operating Time for RD&D Permits

    Section 270.65(a)(l) states that an RD&D permit can be
    issued for up to 365 days of operation.  A particular
    facility wishes to continue operation under its RD&D permit
    for longer than one calendar year.  A Region asked the
    Assistance Branch for appropriate wording on the permit.

    While RD&D permits are limited to 365 days of actual
    operation, many experimental units operate sporadically for
    a few days and are then shut down for longer periods while
    the results are evaluated.  In some cases, 365 days of
    operation may extend over numerous years.  In order to keep
    track of the unit's operation, guidance  (Reference 3)
    suggests that permit writers may include a calendar-based
    expiration date in RD&D permits in cases when warranted.

    RD&D permits may be renewed up to three times.  The
    appropriateness of the justifications for an extension
    should b« considered with any future permit renewal
    applications.  The application will be evaluated based upon
    the initial results of operation, the need for more data,
    any changes in operating conditions and the occurrence of
    any enforcement actions.

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                              OSW Directive No. 9523.00-17

                               -11-


                         RECOMMENDATIONS


Tank Systems

1)   Applying Regulations Promulgated Under Two Authorities

The universe of hazardous waste tanJc systems currently affected
by the July 14, 1986 regulatory amendments varies from State to
State.  The tank system  regulations were promulgated under two
authorities.  Those applicable to RCRA tank systems are now in
effect only in States that do not have authorized RCRA base
programs.  States authorized for the base RCRA program must
amend their programs before the regulations become effective.
Those provisions applicable to HSWA regulated tank systems are
effective in all States.  The Assistance Branch is often asked
to clarify which provisions apply universally and which apply
only in unauthorized states.

The following requirements apply in all States:

     interim status requirements applicable to small quantity
     generator tank systems (Section 3001 (d) )

     leak detection for  all new underground tanks that cannot be
     entered for inspection (Section 3004 (o) (4))

     permitting standards for underground tanks that cannot be
     entered for inspection (Section 3004 (w) )

Regulations applicable to above-, on-, in-, and enter able
underground tanks currently apply only in unauthorized States.
Authorized States have until July, 1988 (if only regulatory
changes are needed) or July, 1989 (if statutory changes must be
made) to amend their programs to reflect the Federal
requirements.  Further information is provided in the
Implementation Strategy  for Tank Systems (Reference 12) .


Incinerators

1)   Selection of Principle Organic Hazardous Constituents
     (POHCs)
                 Ly th»  University of
has !_,* *i ••'• new ircinerax.il i*v  T-^J."?  2! Appendix  VTII
compounds based upon thermal  stability data  (Reference 9) .
Until nov, incinerability  ranking of Appendix VIZI compounds has
been based upon a compound's  heat of combustion.

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                              OSW Directive No. 9523.00-17

                              -12-


Guidance is being developed to reflect the new ranking of
compounds.  A Regional Office proposed to specify at least one
POHC based on each of these rankings as an interim approach.
The Assistance Branch agreed that this approach is acceptable,
and suggested additional criteria, such as chemical structure^
toxicity and concentration, which may also be used.

2)   Use of Surrogate Wastes During a Trial Burn

Surrogate wastes are mixtures of chemicals combined to exhibit
the characteristics of the actual waste materials and to contain
the same hazardous chemicals expected to be burned by an
incinerator.  Surrogate wastes are often proposed by facilities
for use during the trial burn.  Simulating the burning
characteristics of any individual waste, however, is very
difficult.  As a result of this difficulty, facilities should
use actual wastes during the trial burn if they are available.
In cases where the principle organic hazardous constituents
(POHC) concentrations in the actual waste are not high enough to
determine the destruction and removal efficiency (DRE), the
wastes may be spiked.

If the facility cannot modify its plan to burn actual wastes,
such as in the case of a commercial incinerator, the
owner/operator should provide justification for the use of
surrogates.  If any facility must use surrogate wastes, the
surrogate waste should be as much like the actual waste as
possible.  If an incinerator is planning to burn solid waste,
surrogate solids should be mixed with the POHC feed.

3)   Destruction and Removal Efficiency (DRE) Calculations

A facility planned to include in their DRE calculations the POHC
input into the system from city water used to prepare a lime
slurry for removing acid gases by their scrubber.  During a
review of the trial burn plan, the Assistance Branch evaluated
their methodology for the DRE determination.

According to Section 264.343(a)(1), the mass feed rate of POHC
input used for DRE calculations must equal the mass feed  rate  in
the waste stream only.  In order to complete the determination,
all the POHCs in the exhaust gases must be included in the
calculations.  Any additional POHCs volatilized  from the  slurry
used in the scrubber system must be included if  they are
released with the emission gases.

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                              OSW Directive No. 9523.00-17

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4)   Sampling-During a Trial Burn

In their trial burn plan, a facility proposes to obtain on* grab
sample per test run for residue analysis.  The proposed
frequency of sample collection is inadequate for the collection
of a representative sample from any test run.  An acceptable
plan vould be to collect grab samples at frequent intervals over
the entire test period.  These samples should be composited
before analysis.

5)   Use of Sampling Trains in Modified Method 5 (MM5)

Several facilities planned to use a single MM5 train to sample
for both particulates and semi-volatile POHCs during a trial
burn.  This approach is incorrect.  The drying of the filter for
the particulate analysis results in the potential loss of
semi-volatile compounds.  The correct procedure involves the use
of two separate trains, one for particulate sampling and one for
the sampling of semi-volatile organics.


Ground-water Monitoring

1)   Confirming Ground-water Contamination

A draft permit condition for a detection monitoring program
required three sampling events to confirm ground-water
contamination.  Under Part 264 Subpart F, only one confirmatory
sampling event is necessary to trigger a compliance monitoring
program.

The Subpart F requirement for triggering a compliance monitoring
program is based upon one sampling event and one confirmatory
sampling.  A slug of contamination detected in the initial
sampling could pass the compliance point during the time  it
takes to obtain results from additional confirmatory sampling
events.

2)   Disposal of Purged Water.

The ground-water sampling and analysis plans at many  facilities
have no procedures for handling purged water.  Purged water  from
monitoring wells should not be discarded onto  the ground  because
t-K~ purged water could contain hazardous waste.  It should be
±ir*ed iu* i3az»*"i«»us GL*^acte*A»^<'"*  in order  to d»*-r^.*<
appropriate disj/wx~.l .-~L^-w>d, particularly  4f ntwi-** sampling
events indicated the presence  of hazardous  constituents.
Alternately, collected purge water can be disposed back into
surface impoundment* that are  permitted to  receive any
constituents expected  in leachate or  contaminated ground  water.

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                              OSW Directive No.  9523.00-17

                              -14-
Ground-water Modeling
1)   Extermination of Site-specific Permeability for Application
     in a Model.

A facility proposed to use a model to support their no-
migration waiver petition.  They obtained several soil samples
in order to determine a soil permeability factor.  A mean value
was calculated for input into the model.

Modeling efforts to determine the potential for migration of
hazardous constituents to or in ground water should use the
worst-case value measured representative of a site in order to
incorporate a margin of safety.  The applicant was asked to
re-run the model using the highest value of the coefficient of
permeability.

2)   Selection of Critical Constituents for Use in a Transport
     Model

A waiver applicant planned to demonstrate no migration into
ground water by selecting critical constituents for use in their
modeling effort.  Inputs included half-life and.retardation
factors.  The applicant selected acrolein and acrylonitrile
based upon their relatively long half-lives in ground water.

However, the high retardation factors which indicate slow
movement, make the selection of these two chemicals
unrepresentative of the worst case.  The most appropriate
constituent (s) for modeling must be based on an evaluation of
all relevant factors.  Concentration of the constituents in the
waste and their retardation factors should be evaluated along
with half-life when selecting constituents with the greatest
potential to migrate.  The Assistance Branch recommended that
other constituents be chosen in this case.

3)   Use of Appropriate Models based upon Site Characteristics

A waiver applicant proposed to use a one-dimensional model to
demonstrate no migration of hazardous constituents into ground
water.  The hydrogeological and soil characteristics of the site
displayed several non-uniformities and could be described as a
fairly complex system.

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                              OSW Directive NO. 9523.00-17

                               -15-


A one-dimensional model, as proposed by the applicant, can be
very Halting.  The attributes of the aodel must reflect the
conditions observed at the site.  Also, data representative of
the whole site should be collected for input into the chosen
aodel.  Given the complexities of the site, a acre sophisticated
model, such as a 2- or 3-D model, would be necessary to support
a demonstration of a 'no migration'.


Landfill Design

1)   Composite Bottom Liner Equivalency

A facility proposed to install a 60-ml high density polyethylene
(HDPE) liner over a compacted clay layer with a permeability not
exceeding 1 x 10~6 cm/sec as the lower liner for a new cell.
The Assistance Branch was asked to determine if the proposed
liner was equivalent to the current requirement under Section
264.301(c) for a 3 foot compacted clay-only liner with a
permeability not greater than 1 x 10"~ centimeters per second.

The staff felt that a composite liner with a clay component of l
x 10~6 cm/sec permeability was equivalent to a clay liner with
lower permeability.  Regulations proposed on March 28, 1986
(Reference 6), when they become effective, will be more
restrictive.  They will require a composite bottom liner
consisting of a flexible membrane liner over a 3 foot clay layer
with a permeability not more 1 x 10" .  Until then, the clay-
only liner requirement is the standard applied to evaluate liner
equivalency.

2)   Evaluation of a Steep Slope Using the Universal Soil Loss
     Equation

A facility proposed to install a cover with a slope that
significantly exceeds the recommended 3-5% grade.  The owner
maintains; tbat the annual soil loss, based upon the Universal
Soil Loss Iquation, would be just less than the 2 tons/acre/year
limit recosottnded by EPA.  The Assistance Branch was  asked to
review the facility's calculations.

The five factors used in the soil loss equation are subjective
and selected based upon the site engineer's best judgement.   If
slightly larger factors were applied than the  ones selected  by
th* ^vil'canu, tn*. «oil loss would be substantially greater  (as
jaucn a« 33 tons/acr«/y«»r).  Is.  ~>c&**.  *>r th*  *«.»!*tance  Bra«~w
to *cc^pt the applicant's predicted »oil los&, th« »rtii  -r^t-J
loss should be significantly less than 2 tons/acre/year so that
any underestimation of the selected factors would not result in
an actual lose of more than the*  soil loss  limit.  The Assistance
Branch requested additional documentation  from the applicant.

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                              OSW Directive No.  9523.00-17

                               -16-


3)   Demonstration of Material Durability

An applicant conducted a demonstration of material durability by
using polyethylene tanks to perfora the compatibility testing on
their HDPE liner components.  The polyethylene tanJc material  "
absorbs the same kinds of chemicals as the HDPE samples, thereby
reducing the constituent level in the test leachate.  This could
lead to an unrealistic strength data after immersion testing.
The Assistance Branch recommends that glass vessels be used for
immersion testing.

4)   Minimum Technological Requirements for Secondary Soil Liner

A facility planned to construct a side slope liner by scarifying
and remolding the exposed soils prior to placement of the
synthetic membrane.  Section 264.301(c) requires that this liner
be constructed "with at least a 3 foot thick layer of
recompacted clay or other natural material with a permeability
of no more than 1 x 10"7 cm/sec."  Scarifying and remolding
alone do not meet the requirements for recompaction.


Permit Conditions

1)   Specification of an Adequate Number of Emergency
     Coordinators

Assistance Branch review of a Part B application addressed the
contingency plan for the facility.  This facility had only one
emergency coordinator designated in their plan.

The regulations in Section 264.55 require that an emergency
coordinator be available at all times.  At the minimum, one
additional employee must be designated and trained as emergency
coordinator to provide around-the-clock and vacation coverage.
At this particular facility, the Assistance Branch recommended
that two more emergency coordinators be designated in order to
provide adequate coverage.

2)   Requirement for Additional Testing as a Permit Condition

In a draft permit, a State required that all stabilized wastes
that have passed the paint filter test also be subjected  to an
unconfined compressive strength test at 50 psi.  While  a  Region
can specj fy perr.it. wdnditions  for additional testing, the
w'-rsft: JVis-jrai policy and the  ^-^r^ed *r-r* on cuuca^erizeH
liquids a^ less stringent than tarn orarx Ctate p*rsit
condiwic .  The State is allowed, however, to be more stringent
than th« EPA.  Note that under the Federal policy,  the
conprecsive strength test is necessary only if the  Region is
unsure that true chemical stabilization has occurred.

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                              OSW Directive No. 9523.00-17

                              -17-
                  AVAILABILITY OF NEW  GUIDANCE

TanJc Systems

     EPA guidance document, "Compilation of Persons Who Design,
     Test, Inspect,  and Install Storage TanJc Systems'1
     (EPA/530-SW-88-019) is now available.  The document
     provides a list of individuals and firms who provide the
     services of an independent,  qualified, registered
     professional engineer, corrosion expert, or qualified
     installation inspector as required in the July 14, 1986
     regulations for hazardous waste tank systems.

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                              OSW Directive No. 9523.00-17
                               -18-

                           Attachment A
    Assistance Branch Staff Reviews Included  in  this  Summary
Facility Name	Region
BucJcner Barrel
Ciba-Geigy
(Glen Falls, N.Y.)
Ciba-Geigy
(Queensbury, N.Y.)
Fort Barton Industries
General Dynamics
General Electric
(Water ford, N.Y.)
Eli Lilly and Company
Envirosafe Services
(Grand View, Idaho)
Memtek Corporation
Monsanto
(Chocolate Bayou, TX)
Moore Business Forms and
National Institute of
Health (1QH)
SCA Chemical Services
SOHIO
Union Carbide Aar'evUw •-*•
U.S. Ecology
USPCI
II
II
II
I
I
II
V
X
I
VI
VI
III
II
VI
IX
VIII
Chester Oszman
Chris Rhyne
Chris Rhyne
Sonya StelmacJc
Sonya StelmacJc
Chris Rhyne
Chester Oszman
Amy Mills
Nestor Aviles
Dave Eberly
Nestor Aviles
Nestor Aviles
Chris Rhyne
Chris Rhyne
Chris Rhyne
Chris Rhyn*
Dave Eberly
May 1987
June 1987
March 1988
February
1987
June
1987
February
1988
June
1987
February
1987
January
1987
April
1987
May
1987
February
1988
December
1987
October
1987
July
February
1988
January
1988

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                              OSW Directive Mo. 9523.00-17

                                -19-


                           Attachment  B

     List of Guidances Used in Preparing the Assistance Branch
                              Reviews

1.   "Acceptability of Thermal Relief Vents on Hazardous Waste
     Incinerators", OSWER Policy Directive 19488.00-3.

2.   Compilation of Persons Who Design, Test, Inspect, and
     Install Storage Tank Systems, February 29, 1988,
     EPA/530-SW-88-019.

3.   Guidance Manual for Research, Development, and Demonstration
     Permits under 40 CFR Section 270.65, July 1986, EPA/530
     SW-86-008, OSWER Policy Directive 19527. 00-1A.

4.   Guidance on the Implementation of the Minimum Technological
     Requirements of HSWA of 1984, Respecting Liners and Leachate
     Collection Systems; EPA/53 O-SW-85-012.

5.   "Hazardous Waste; Codification Rule for the 1984 RCRA
     Amendments" 52 FR 45788, July 15, 1985.

6.   "Hazardous Waste Management System; Proposed Codification of
     Statutory Provisions", 50 FR  10706.

7.   "Hazardous Waste Management System; Preamble to the Final
     Codification Rule", 50 FR 28706.

8.   "Incinerator Eligibility for RD4D Permits" Memorandum  from
     Susan Bromm, Acting Director, Permits -4 States Programs
     Division, March 8, 1988.

9.   "Predicting Emissions from the Thermal Processing of
     Hazardous Wastes", Hazardous Wastes and Hazardous Materials,
     June 30, 1986.

10.  Questions and Answers Regarding the July  14, 1986 Hazardous
     Waste Tank System Regulatory Amendments, August  1987,
     EPA/53 O-SW-87-012 .

11.  "Summary of Permit Assistance Team Comments",  1988,  OSWER
     Policy  Directive 19523.00-15.
12.  "Implementation Strat-^tTj j.v.- th« Haza^^vf!  Waste Tank
     System  Regui* >•:..•»». EFA/530-SW-87-C1?   ~

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                                        OSWER Directive No. 9523.00-18
              UNITED STATES ENVIRONMENTAL PROTECTION AGENCY
                         WASHINGTON, D.C. 20460
  MAR  I 4 1989                                              °"iC£ GF
  I rt     •**^~                                      SOLID vVAS'e iNO :Me«GENCv 3 =

MEMORANDUM

SUBJECT:  Summary of  Assistance Branch Permitting Comments

FROM:     Sylvia K. Lowrance,  Director \A  "V
          Office of Solid  Waste (OS-Bawr*^   "^
TO:       Regional Waste  Management Division Directors
          Regions  l-X


   Attached is  the fifth  in  a  series of periodic reports
which summarize major  issues that Assistance Branch staff
have addressed  in  their reviews of specific Part B applications,
permits, closure plans and  in  their responses to site-specific
situations  .  These  reports  cover issues that are of generic
national interest  rather  than  strictly site-specific interest.
The attached report  includes reviews conducted by the Disposal
and Remediation Section and  the Alternative Technology and Support
Section during April and  May,  1988.  To ensure that the report
reflects current EPA policy  and guidance, we obtained review
comments and concurrences from within OSW, from the Office of
Waste Programs  Enforcement,  and from the Office of General
Counsel .

   We hope  that the  recommendations provided in this document
will be helpful for  permit writers encountering similar situations
at other RCRA facilities. By  sharing the Assistance Branch's
suggestions from a few sites,  we hope that permit decision-making
will be somewhat easier and  faster at many more sites nationally.
We encourage you to  distribute this report to your staff and  State
permit writers.  To  make  the distribution easier, I have attached
multiple copies of the report.
    (These reports  were formerly entitled "PAT Summary Reports":
   previous reports were issued on March 14, 1986  (OSWER Policy
   Directive No.  9523.00-14), M»~eh 30  1?«7 (OSWER Policy
   Directive No.  2523.81--12) , M:...i 3C, 1<»88 Jre("''ve wo.  95^3.00-15), at,-* September 2, 1333 (^Z'-***
   Directive No.  9523.00-17)

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                                   OSWER Directive  No.  9523.00-18
                               -2-
    Attachment A to the report lists  the facility names,
Regions, revTew coordinators,  and dates for  the reviews
summarized in this report.  Attachment B provides a  list  of
guidance documents and directives used in preparing  the  reviews.

    If you have any questions, comments, or  suggestions  on the
Summary of Assistance Branch Permitting Comments, please  contact
Jim Michael, Chief, Disposal and Remediation Section,  OSW at FTS
382-2231.
Attachments

cc: RCRA Branch Chiefs
      Regions I-X
    Permit Section Chiefs
      Regions I-X
    Jon Cannon
    Jeff Denit
    Jim O'Leary
    Joe Carra
    Matt Hale
    Ken Schuster
    Suzanne Rudzinski
    Elizabeth Cotsworth
    Alex Wolfe
    Jin Michael
DRS Staff
ATSS Staff
Art Day
Les Otte
Ken Skahn
Susan Brotnn
Steve Heare
Scott Parrish
Lisa Friedman
Tina Kaneen
Fred Chanania
Bob Dellinger
Tom Kennedy  (ASTSWMO)

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                                   OSWER Directive No.  9523.30-18
         Summary of Assistance  Branch  Permitting Comments



                        Table of Contents
         Toeuc



Issue Resolution



    Popping Furnaces



    Subpart X - Miscellaneous Units



    Closure



    RCRA Corrective Action



Recommendat ions



    Popping Furnaces



    Liner Requirements



    Hazardous Waste Stabilization



    Permit Issuance



Staff Reviews Included in This Summary



List of Guidances Used in This Summary
         gage




           1




           1




           2




           5




           7




          10




          10




          11




          13




          13




Attachment A




Attachment B

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                                   OSWER Directive  No.  9523.00-18


         SDMMARY OP ASSISTANCE BRANCH PERMITTING COMMENTS

                      April 1988 - May 1988

    This report  is the fifth  in a series of documents
summarizing some of the comments provided to Regional  per-nit
writers by OSW s Assistance Branch.  The report is  organized
into two sections.  The first section,  Issue Resolution,
provides examples of issues that have been raised  at one  or more
facilities.  This section covers special situations where
regulations or policy decisions were applied in actual
circumstances.  The second section, Recommendations, addresses
comments routinely made to answer questions on items often
overlooked or poorly understood, and to convey technical
information.  This section should be generally helpful to the
permit writer.  A contact person has been listed for each item
to answer additional questions.

ISSUE RESOLUTION

Popping Furnaces

1)   Automatic Waste Feed Shut-off

         The Army is in the process of applying for permits  for
         their munitions deactivation  (popping) furnaces  that
         are located at about a dozen Army facilities around  the
         nation.  These "popping furnaces" are hazardous
         incinerators where the waste material is obsolete
         munitions that must  be exploded in the incineration
         chamber during the incineration process.   The explosive
         nature of the waste  poses specific problems unique to
         these units in meeting Subpart 0 requirements.

         Section 264.345(e) requires that "an incinerator must
         be operated with a functioning system to automatically
         cut off waste feed to the incinerator when operating
         conditions deviate from limits  . . .".  Explosive
         wastes in the "hot zone" near the furnace cannot be
         safely stopped before the incinerator chamber due to
         risk of explosion outside the unit.  A design was
         proposed at an Army  facility  that meets the  requirement
         foe an automatic waste feed cut-off without
         compromising safety.  The proposed design  consists of
         two conveyors.  The  first conveyor feeds waste
         munitions onto a second conveyor which, in turn, feeds
         the munitions in the "hot zone"  into  the  feed chute.
         The automatic control would stop the  first system in
         the event of deviations from  permit operating
         conditions, while the waste in  the "hot zone" would
         continue safely into the  unit.

-------
                                   OSWER  Directive  No.  9523.00-18

                                -2-

         The Assistance Branch reviewed the  proposed  waste  feed
         system and concurs that this system meets  the
         regulatory requirements under Section  264.345(e) for  an
         automatic waste feed cut-off.

    Contact.-  Sonya Stelmack  202 or FTS-382-4500


2)  Fugitive Emissions

         Fugitive emissions are characteristic  of popping
         furnaces during the explosion of the munitions waste in
         the incinerator chamber.  Section 264.345(d) requires
         that fugitive emissions from the combustion zone be
         controlled by keeping the combustion zone totally
         sealed; or by maintaining a combustion zone pressure
         lower than atmospheric pressure; or by an alternate
         method which can be demonstrated to provide fugitive
         emissions control equivalent to  the maintenance of
         combustion zone pressure lower  than atmospheric.

         An Army facility proposed to maintain  lower than
         atmospheric pressure in their combustion zone; however,
         they could not do so continuously.   They requested that
         the permit be worded so that a  specific number of
         positive pressure excursions would be  allowed.  The
         Assistance Branch concluded that allowing positive
         pressure excursions would not meet the regulatory
         requirement for fugitive emission control.  The
         Assistance Branch informed the  Army that their other
         proposed option of providing a  totally enclosed system
         where the collected fugitive emissions would then  be
         returned to the incinerator with the air intake would
         be acceptable.  A more recent Army proposal to enclose
         the furnace retort in a negative-pressure shroud rather
         than totally enclosing the system will also be
         considered, provided the Army submits  adequate
         supporting data.

    Contact:  Sonya Stelmack  202 or FTS-382-4500


Subpart X - Miscellaneous Units

1)  Units Regulated under Subpart X

         A facility has ten units that the owner/operator
         maintains are miscellaneous  units which should  be
         regulated under Subpart X.   The owner/operator
         describes these units as pits.  Wastewater  containing
         reactive waste enters the  unlined pits.   The  liquid  is
         first allowed to evaporate or percolate out of  the
         units.  The owner/operator  then  ignites the remaining
         residue after the liquid  is  removed.

-------
                                   OSWER Directive No.  9523.00-18
                                -3-

         The Region contends that these units are surface
         impoundments and should be regulated under  Subpart  K.
         The Assistance Branch was asked to evaluate the nature
         of these units and identify the applicable  regulations.

         Surface impoundments nay be used to store,  dispose  or
         treat hazardous waste.  The process occurring in  these
         units is the treatment of wastewater (which does  not
         have the potential to detonate) by dewatering with  the
         subsequent open burning of the residue.   Additionally,
         Section 260.10 specifically includes pits as an example
         of surface impoundments.  Therefore, all requirements
         applicable to surface impoundments, including land
         disposal restrictions, November 8, 1988  retrofit
         deadlines, and minimum technology requirements, apply
         to these units.  Subpart X is intended to cover units
         not regulated elsewhere and will not replace or
         supercede any restrictions or requirements  contained  in
         another Subpart.  Units that are containers, tanks,
         surface impoundments, waste piles, land  treatment
         units, landfills, incinerators, boilers, industrial
         furnaces and injection wells are specifically excluded
         from Subpart X.

         If the Regional Administrator feels that the Subpart  K
         standards do not provide adequate protection during the
         burning phase of the treatment process,  additional
         permit conditions may be based upon the  HSWA omnibus
         provisions in Section 3005(c) in order to protect soil
         and air.

    Contact:  Chet Oszman  202 or FTS-382-4499
2)   Open Burning/Open Detonation  (OB/OD) Unit Requirements

         Non-military waste explosives can be open burned/open
         detonated if the waste has the potential to detonate as
         stated in Section 265.382.  If the waste explosives,
         including wastes consisting of part solvent, do not
         have the potential to detonate, the waste cannot be
         destroyed in OB/OD units.  Solvents contaminated with
         explosives to the extent that  they have the potential
         to detonate may be open  burned provided that the unit
         qualifies under either 264, Subpart X or 265,
         Subpart Q.  The open burning and detonation of waste
         explosives is considered to be a treatment process
         rather than waste disposal, and therefore the land
         disposal deadlines and restrictions do not apply.
         Treatment residues, however, may be subject to such
         restrictions.

    Contact:  Chet Oszman  202 or FTS-382-4499

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                                   OSWER  Directive No. 9523.00-18
                                -5-

         Even when commercial  fuels  are  used,  there  is  the
         potential for ignitables  or hazardous  constituents  to
         be r_eleased to the surrounding  soil and surface water.
         The individuals responsible for conducting  the exercise
         should be advised to  prevent any such  releases.   In
         situations were releases  do occur and  these releases
         may pose a threat to  human  health or  to the
         environment, a variety of Federal and/or  State
         enforcement/cleanup authorities may be called  upon.

    Contact:  Chet Oszman 202  or FTS-3a2-4499
Closure

1)   Use of Soil Background Levels for  Clean  Closure

         Several Regions requested clarification  on  setting  soil
         cleanup levels at facilities  that plan to achieve clean
         closure.  As stated in the preamble to the  March 19,
         1987 final regulations,  verified reference  doses (RfDs)
         and Carcinogenic Potency Factors (now correctly called
         Carcinogenic Slope Factors, or  CSF)  can  be  used to
         determine cleanup levels for  contaminants when they are
         available.  In cases where no Agency-recommended levels
         exist, the soil cleanup level may be based  on either
         background levels or data developed by the
         owner/operator to support a health-based limit.

         Background levels can be determined in two  ways.  Soil
         samples can be taken from uncontaminated areas of the
         facility and at representative  depths.  The background
         samples must be taken in areas  that are not
         contaminated from spills or by  the  operation of the
         waste management unit or in some cases,  by  the
         operation of any manufacturing  processes that may be
         present.  The second approach uses  published literature
         as the source of naturally-occurring levels in similar
         soils to establish background levels.

         At one facility the chemicals of concern were  lead and
         cadmium.  At that tine, the Office of Research and
         Development (ORO) was evaluating data on the toxicity
         of both of these substances.   While the toxicological
         information for lead and cadmium was undergoing current
         review, the RfD for cadmium  (0.0005 lag/kg/day) was
         likely to be approved and could be used to set a soil
         cleanup level.  After applying the appropriate exposure
         assumptions, the RfD translated  into a cleanup level  of
         9 rag/kg of cadmium.  The cadmium level proposed by the
         owner/operator for the closure of their land disposal
         unit was acceptable as it was based on the proposed
         RfD.  (The RfD of 0.0005 mg/kg/day was approved on May
         25, 1988.)

-------
                                   OSWER Directive No.  9523.00-18
                                -4-

3)  Permit Requirements for Waste Explosives

         The_Assistance Branch was asked to clarify the
         circumstances under v/hich the disposal of explosives
         would require a per.-nit and to define the point  at  which
         unused explosives become a waste.

         A Subpart X permit or interim status is necessary  for  the
         non-emergency open burning/open detonation of waste
         explosives.  The immediate response provisions  of
         Sections 264.1(g)(8), 265.1(c) (11) , and 270.1(c)(3)  allow
         an exception to the permit requirement to be made  in
         situations where the threat of explosion (i.e., the
         discharge or threat of discharge of a hazardous waste)
         presents an emergency situation.  If immediate action  is
         not required, but the threat to human health and the
         environment persists, the Director may issue an emergency
         permit under Section 270.61(a), bring an imminent  hazard
         action under RCRA Section 7003, or perform a removal
         action pursuant to CERCLA Section 104.

         When explosives are fulfilling their normal use pattern
         and there is no intent to discard them, they are not
         hazardous waste nor are they subject to Subpart X.
         However, damaged or leaking explosives or other
         undetonated explosives that, for safety reasons, cannot
         be used (such as expired shelf life) are waste, and  can
         be hazardous waste.

    Contact:   Chet Oszman  202 or FTS-382-4499
4)   Applicability of Subpart X Permits to Fire Training Exercises

         Fire fighters routinely train by extinguishing blazes set
         as part of a training exercise.  Often various types of
         fuel are used to ignite the training structure.  The
         Assistance Branch was asked to determine if these
         exercises and training areas require Subpart X permits.

         The burning of commercial fuel in fire training exercises
         is within the normal use of that fuel product.  However,
         verification must first be made to establish that the
         material to be burned is actually commercial fuel.  Once
         the material is verified as commercial fuel, burning in
         fire fighter training exercises does not constitute a
         RCRA regulated activity.  If the material  to be burned  is
         not a commercial fuel but any other  ignitable  hazardous
         waste such as used oil or spent solvents,  this type of
         open burning is prohibited.

-------
                                   OSWER  Directive No. 9523.00-18


                                -5-

         Even when commercial fuels are used,  there  is the
         potential for ignitables or hazardous constituents  to
         be -released to the surrounding soil  and  surface water.
         The individuals responsible for  conducting  the exercise
         should be advised to prevent any such releases.  In
         situations were releases do occur and these releases
         may pose a threat to human'health or  to  the
         environment, a variety of Federal and/or State
         enforcement/cleanup authorities  may  be called upon.

    Contact:  Chet Oszraan 202 or FTS-382-4499


Closure

1)   Use of Soil Background Levels for Clean Closure

         Several Regions requested clarification  on  setting  soil
         cleanup levels at facilities that plan to achieve clean
         closure.  As stated in the preamble  to the  March 19,
         1987 final regulations, verified reference  doses  (RfDs)
         and Carcinogenic Potency Factors (now correctly-called
         Carcinogenic Slope Factors, or CSF)  can  be  used to
         determine cleanup levels for contaminants when  they are
         available.  In cases where no Agency-recommended levels
         exist, the so-il cleanup level may be based  on either
         background levels or data developed  by the
         owYier/operator to support a health-based limit.

         Background levels can be determined  in two  ways.  Soil
         samples can be taken from uncontaminated areas  of the
         facility and at representative depths.  The background
         samples must be taken in areas that  are  not
         contaminated from spills or by the operation of the
         waste management unit or in some cases,  by  the
         operation of any manufacturing processes that may be
         present.  The second approach uses published literature
         as the source of naturally-occurring levels in  similar
         soils to establish background levels.

         At one facility the chemicals of concern were lead  and
         cadmium.  At that tine, the Office of Research  and
         Development (ORO) was evaluating data on the toxicity
         of both of these substances. While  the toxicological
         information for lead and cadmium was undergoing current
         review, the RfD for cadmium  (0.0005  tng/kg/day)  was
         likely to be approved and could  be used to set  a soil
         cleanup level.  After applying  the appropriate exposure
         assumptions, the RfD translated   into a cleanup level of
         9 mg/kg of cadmium.  The cadmium level proposed by the
         owner/operator for the closure  of their land disposal
         unit was acceptable as  it was based on  the proposed
         RfD.  (The RfD of 0.0005 mg/kg/day was approved on May
         25, 1988.)

-------
                                   OSWER  Directive  No. 9523.00-18


                                -6-

         The RfD for lead  is  undergoing revision  as a result of
         new information on  the neuro-behaviora1  effects of
         lead_.   The RfD  workgroup is  not  expected to reach a
         decision on the new  level  in the near  future.  Lead is
         also undergoing evaluation to determine  if it acts as a
         potential carcinogen via oral exposure.   The
         determination of  a CSF is  expected  to  take a while;
         therefore, soil cleanup levels for  lead  should be based
         on background levels.

    Contact:   Chris Rhyne   202  or FTS-382-4695


2)   Redesignating Unit Type during  Interim Status

         An owner/operator wishes to  redesignate  a  unit that has
         been operating as an interim status surface impoundmen-t
         as a landfill.  The  owners propose  to  stabilize the
         waste,  retain the stabilized waste, redesignate the
         unit as a landfill and continue  operations.  The bottom
         liner  system of the  unit does not meet  the minimum
         technology requirements.  As a surface  impoundment, the
         owners  must either retrofit  or stop receiving wastes by
         November 8, 1988.  If  the  unit stops receiving waste,
         it must close in  order to  comply with  Section 3005(j)
         requirements.

         Under  Section 270.72(c), changes in process can be made
         during  interim  status  only under the following two
         ci rcumstances:

         (1)  It  is necessary  to prevent a threat  to human health
         or the  environment because of an emergency situation,
         or;

         (2)  It  is necessary  to comply with  Federal regulations
         or  State or local  laws.

         The Region concluded that neither criterion  could  be
         satisfied for this  facility.

         In this particular  situation, however,  the authorized
         State regulations which are analogous to Section
         270.72(c) also  allow for a change if "proposed  changes
         are demonstrated  to  result in safer or environmentally
         more acceptable processes."  In  order to comply with
         the State condition, the owner  would have to
         demonstrate that  a landfill operating with less than  a
         minimum technology liner is safer or environmentally
         more acceptable  than a closed or retrofitted surface
         impoundment. The Assistance Branch did not believe
         that such a demonstration is possible and that the
         facility could  not,  therefore,  meet the State
         requirement. The State, however, ultimately would be

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                                   OSWER  Directive  No. 9523.30-13


                                -7-

         responsible for determining if  the  demonstration
         satisfies the condition for a more  acceptable process.
         Note that if the unit conversion were allowed to  take
         place, the unit would be an existing landfill unit,  and
         not a new unit subject to MTRs.

    Contact:  Dave Eberly  202 or FTS-382-4691


RCRA Corrective Action

         In order to set cleanup standards at a facility
         undertaking corrective action to remediate releases  from
         their solid waste management units, a Region asked the
         Assistance Branch to clarify the Agency policy  on
         determining cleanup levels, compliance points,  timing  of
         corrective action and the use of institutional  controls.

1)   Cleanup Standards

         Promulgated standards should be used as cleanup standards
         when they are available.  Maximum contaminant levels
         (MCLs), established under the Safe Drinking Water Act
         (SDWA), are available for some contaminants and should be
         used for a cleanup standard for ground water that is or
         potentially can be a source of drinking water.   When
         promulgated standards are not available, Agency
         health-effects data should be used to derive the cleanup
         level.

         EPA's Integrated Risk Information System (IRIS) provides
         current Agency health assessments and regulatory
         decisions on many chemicals.  When setting cleanup levels
         for carcinogens based upon the Carcinogen Slope Factor
         (CSF), the risk range should fall between 1 X 10"  and
         1 X 10  .

         Standard exposure assumptions for drinking water should
         be used for setting cleanup levels based upon verified
         reference doses (RfDs) and CSFs in ground water used, or
         potentially used, for drinking.  Cleanup levels in soil
         should be based upon exposure assumptions corresponding
         to the potential land use.  For example, if children  can
         play in the area after cleanup and the  soil contamination
         is surficial, the potential for children to ingest soil
         must be considered.  Guidance on specific exposure
         assumptions and exposure  scenarios  is currently being
         developed.

    Contact:  Reid Rosnick  202 or  FTS-382-4755

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                                   OSWER  Directive No. 9523.00-18


                                -8-

2)  Compliance Points for  Soil  and  Ground Water Cleanup

         The objective of  corrective  action  to ground water is
         to restore beneficial  use  if possible.   In cases where
         ground water is or  has the potential  to  be used for
         drinking,  cleanup should be  throughout the plume.
         However,  there are  circumstances, such as when the
         waste is  left in  place or  the unit  is still operating,
         that preclude cleanup  throughout the  whole plume.  In
         such situations,  the compliance  point is at the edge of
         the waste  management unit.

         The compliance point for soils is any area that may be
         available  for direct contact with the soils.   In cases
         where subsurface  soils are contaminated  to the extent
         that ground water contamination  is  or has the  potential
         to occur,  soil cleanup levels should  be  set to protect
         the ground water.

    Contact:  Reid  Rosnick  202 or  FTS-382-4755


3)   Timing of Cleanup Activities and  Monitoring of the  Site

         At this time, the proposed corrective action
         regulations will  not establish a time frame  for
         attaining  cleanup levels.  A number of  factors should
         be evaluated prior  to  setting a  schedule for  a
         particular facility.   These  factors are: (1)  the extent
         and nature of contamination; (2) the  practical
         capability of the remedial technology to meet  the
         objectives; (3) the availability of treatment  or
         disposal capacity for  wastes; (4) the use of  emerging
         technologies; and,  (5) potential risk to human health
         and the environment from exposure prior  to  the
         attainment of cleanup  levels.  In general,  expeditious
         cleanup, particularly  of off-site contamination,  is  the
         goal.

         With respect to ground water corrective action under
         Subpart F  (Section 264.100), the owner/operator  is
         required  to monitor ground water during the compliance
         period (resume compliance  monitoring) after cleanup
         activities have ended  to demonstrate that the
         ground-water protection standard is being achieved.   If
         corrective action is ongoing at the end of the
         compliance period,  corrective action cannot be
         terminated until  the ground  water  protection standard
         is not being exceeded  for  three consecutive years.
         While this time frame  has  been applied  to corrective
         action from SWMUs, it  is  often difficult to demonstrate
         reliably that the standard has been achieved for three
         years in  all hydrogeological settings.

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                                   OSWER Directive No.  9523.00-18
                                -9-

         The Agency is proposing Section 3004(u)  corrective
         action regulations that determine the timing  for
         demonstrating compliance based on a case-by-case
         basrs.  When selecting the length of  time appropriate
         to determine compliance, the Region should consider  the
         following: (1) the extent and concentration of the
         release;  (2)  the behavior of the hazardous constituents
         in the affected medium; (3)  the accuracy of monitoring
         techniques;  (4) the characteristics of the contaminated
         media; and,  (5) any environmental, seasonal or other
         pertinent factors.

    Contact:  Reid Rosnick  202 or FTS-382-4755
4)   Use of Institutional Controls in the RCRA Program

         Institutional controls may be used to limit exposure
         during cleanup; however, they should not be viewed as a
         substitute for cleanup.  In some cases, the presence of
         institutional controls may allow final cleanup to be
         deferred if the owner/operator can assure that there is
         no potential for exposure.  Institutional controls may
         also be used in situations where technical limitations
         prevent compliance with cleanup standards.

         Institutional controls may be engineered features that
         prevent exposure such as fences or barriers.  They may
         also be non-engineered controls that prohibit access to
         ground water or limit use, such as deed restrictions.

    Contact:  Reid Rosnick  202 or FTS-382-4755

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                                  OSWER Director No. 9523.00-18


                              -10-

RECOMMENDATIONS

Popping Furnaces

1)   Conducting Trial Burns Prior to the HSWA Deadline for
    Permitting Interim Status  Incinerators

          Because  it usually takes one year to issue a permit
          after a  trial burn,  interim status facilities should
          schedule the trial burn prior to November 1988 in
          order to meet the November 8, 1989 deadline for
          permitting interim status hazardous waste
          incinerators.  The Army has proposed that the data
          collected from the trial burns conducted at one
          facility be applied  to other popping furnaces.  The
          only circumstances where an owner/operator can use
          data from one incinerator in lieu of conducting a
          trial burn at another is when the two  units are
          similar  in all significant respects including unit
          type, combustion chamber size, dimensions of major
          components and operating conditions.   In addition,  the
          wastes burned in the other units must  be adequately
          represented by the wastes burned during the trial
          burn.  This means that the types and concentrations of
          organic  hazardous constituents and metals must be
          similar.  The incinerability, form, and ash content of
          the waste must also  be comparable.

          The Assistance Branch feels that the use of data from
          a  trial  burn at one  facility in lieu of trial burns at
          the other facilities will not be acceptable for all
          Army popping furnaces because the units were  built  by
          different manufacturers, are of different  ages, have
          worn differently over the years, and have  had
          different modifications  made to them.

          An alternate proposal by the Army  is  to conduct "base"
          trial burns at each  facility using  the wastes  that  the
          facility will most often burn after permitted.  A
          "large scale" trial  burn would also be conducted with
          a  broad  range of wastes  at one facility  to represent
          the worst-case waste to  be burned  in  any  of the  units.

          The Assistance Branch and  the  Incinerator Permit
          Writer's Workgroup agreed  that this  type  of approach
          could be acceptable  for  setting a more flexible  range
          of permit conditions for the popping  furnaces provided
          that the "large  scale"  trial burn  is  conducted at   3 or

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                                   OSWER Directive  No.  9523.00-18


                                 -11-

          4 facilities.  Furthermore,  the results  from  each
          facility that conducted a "large scale"  trial burn must
          be consistent to allow the ~ata to be used  in lieu of
          large scale trial burns at ill popping furnaces.   If  the
          results are not consistent,  permit conditions must be
          based on the individual facility trial burns.

    Contact:  Sonya Stelmack  202 or FTS-382-4500


2)  Evaluation of Part B Applications for Popping  Furnaces

          The adequate evaluation of a trial burn  plan  for  a
          "popping furnace" involves additional criteria beyond
          that required for the evaluation of most  incinerators
          since the explosive nature of the waste  will  affect  the
          combustion process and ash carryover.  For  example,  in
          typical hazardous waste incinerators, the ash content  of
          the waste is the major variable along with  the
          efficiency of the air pollution control  equipment that
          affects the release of particulate matter from the
          stack.  In the case of popping furnaces,  the  explosive
          content of the waste must also be evaluated because  of
          the potential effect on particulate formation and
          entrainment.  For popping furnaces it is possible that
          there are several "worst-cases" that must be evaluated
          during a trial burn.  The waste burned in the trial  burn
          should be selected for the "worst-case"  with respect to
          incinerability of Appendix VIII compounds,  particulate
          and metals emissions.

          The Assistance Branch has also been encouraging that
          metal limits be set to adequately protect human health
          and the environment under the authority of the omnibus
          provision (Section 3005 (c)(3)).

    Contact:  Sonya Stelmack  202 or FTS-382-4500


Liner Requirements

1)  Use of In-place Hydraulic Conductivity Testing during Liner
    Installation

          The requirement to perform in-place  hydraulic
          conductivity testing on the soil liner of  a  test fill
          was a condition of the  final  permit  for  one  facility
          The owner/operator of  the unit  objected  to the
          requirement and requested clarification  of current  EPA
          policy on the use of in-place versus laboratory
          hydraulic conductivity  testing.

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                                   OSWER  Directive  No.  9523.00-18


                                -12-

          The current EPA policy was  adopted  in  May 1985  in  the
          "Draft Minimum Technology Guidance  on  Double  Liner
          Systems for Landfills and Surface  Impoundments  --
          Des-ign, Construction, and Operation"  (see Reference  3,
          Attachment B).   The Agency  maintains  that in-place
          hydraulic conductivity testing  is  "the most accurate
          means of consistently determining  the  actual  hydraulic
          conductivity of a constructed  soil  liner."  The guidance
          recommends that the in-place hydraulic conductivity  test
          be performed on a test fill using  the  same equipment and
          techniques that will be used during the construction of
          the actual liner.

          EPA policy was reinforced by OSWER  Policy
          Directive 19472.003 (See Reference  5,  Attachment 3),
          which was issued in October 1986.   This document
          presents further support to the Agency's position that
          in-place testing is superior to laboratory testing.
          This does not mean that laboratory  testing is not a
          significant component of a  construction quality control
          program.  Research, however, has shown that laboratory
          permeability tests often produce results that are one to
          three orders of magnitude lower than  the actual
          hydraulic conductivity present  in  the  field.   A
          satisfactory in-place hydraulic conductivity test does
          not have to determine the specific  hydraulic
          conductivity but must document  that it is less than  1 X
          10"  cm/sec.

          An unofficial survey found  that the majority of Regions
          consistently implement the  policy requiring in-place
          hydraulic conductivity testing.

    Contact:  Chris Rhyne  202 or FTS-382-4695


2)   Freeze-Thaw Concerns with Clay Layer  in Final Cover

          A facility located in a northern state proposed to
          install the clay liner portion of the final cover on
          their landfill only 24 inches  below the surface.  In
          this section of the country, frost penetration was  36
          inches.

          The Assistance Branch was asked to evaluate  the proposed
          design.  Based on EPA guidance  (See Reference  3,
          Attachment B), we recommended that the clay  layer below
          the flexible membrane layer (FML)  be  completely below
          the average frost depth.  It is permissible  to  allow  for
          snow cover in the frost depth calculations.  At  this

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                                   OSWER Directive  No.  9523.00-18


                                -13-

          location, 6 inches of snow cover is typical;  therefore,
          we recommended that the soil layer above  the  clay  liner
          need be increased by only 6 inches instead  of one  foot.

    Contact?-  Chris Rhyne  202 or FTS-382-4695


Hazardous Waste Stabilization

1)  Use of Natural Material in a Waste Stabilization  Process

          A facility that planned to close its interim  status
          surface impoundment needed to develop a site-specific
          process that would sufficiently stabilize its highly
          organic and oily waste material.  The facility engineers
          proposed to use cement kiln dust as the pozzolanic
          component in the process.  They also proposed to use
          caliche, a locally occurring form of calcium  carbonate,
          as an absorbent in the process.

          In order to demonstrate that stabilization  has occurred,
          the waste must be shown to have undergone chemical
          change.  The engineers conducted a series of  laboratory
          and field tests with various proportions of the chemical
          additives.  They monitored soluble organic carbon (SOC)
          levels in the leachate.  Based upon data showing that
          lower SOC levels were found in the leachate of
          stabilization mixtures containing caliche as  well as the
          cement kiln dust, the engineers demonstrated  that
          caliche was a necessary component in the stabilization
          process.  Considering these results and the increased
          strength of this stabilized material over time, the
          Assistance Branch concluded that stabilization was
          occurring.

    Contact:  Dave Eberly  202 or FTS-382-4691


Permit Issuance

1)  HSWA Permit Preparation

          A Region prepared a draft HSWA permit  for a  facility by
          using the RCRA Corrective Action Plan  (CAP)  (See
          Reference 4, Attachment B) as a guide.  The  Region  asked
          the Assistance Branch to comment on this approach and
          the permit language.

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                                  OSWER Directive No. 9523.00-18
                               -14-

          While the Assistance  Branch agreed that the CAP was the
          best currently available  guide  for Regions to use to
          prepare HSWA permits,  the CAP  is more  in the nature of a
          checklist,  from which specific  permit  conditions can be
          developed.   Incorporation of general CAP requirements
          directly into a. permit  is likely not to be specific
          enough.  (Please note that  the  Module  for Corrective
          Action for  Solid Waste  Management  Units of the Model
          Permit, distributed for review  and use on November 30,
          1988, is also an appropriate guide for using Sections
          3004(u) and (v).)

          Further, there are several  points  that the permit writer
          must keep in mind when  applying this reference.  First,
          the CAP was designed  to cover  all  possible corrective
          action requirements,  including  interim status corrective
          action orders under Section 3008(h) as well as permit
          requirements under Section  3004(u).  The permit writer
          must select the applicable  Section 3004(u) requirements
          from the "menu" of requirements presented  in  the CAP.
          Certain CAP requirements related to Section 3008(h)  are
          not appropriate for permits.

          Second, the permit writer must, for any  individual
          facility, identify the information already available in
          the Part B application and  collected during the  RCRA
          Facility Assessment  (RFA).   It is  not  necessary  to
          require information that has already been  provided
          elsewhere.   Based upon this information,
          facility-specific permit conditions can  be developed
          using the CAP as a checklist,  but  not  as a model  for the
          actual permit condition language.

    Contact:  Dave Eberly  202  or FTS-382-4691


2)   Authority to Implement Subpart X  Standards  in RCRA  Authorized
    States

          The Agency is using  the authority under Section
          264.1(f)(2) to implement the regulations for
          miscellaneous units  in all  States at the same time,
          regardless of their  authorization status. This authority
          exists independent of HSWA.  Section 264.1(f)(2) applies
          specifically to the regulation of units not covered by
          any Federal permit requirements at the time that an
          individual state program was authorized.  This authority
          was created to avoid the situation that no permits  (such
          as Subpart X permits) could be issued in an authorized
          state  for several years after permit  standards were
          promulgated by the Agency  (i.e., until the state
          receives Subpart X authorization).  Therefore, Subpart  X
          requirements will be implemented by EPA in all

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                                   OSWER Directive  No.  9523. 00-18
                                -15-

          states at the sane time.   See OSWER Policy  Directive
          19489.00-2 (See Reference 1,  Attachment B)  for  further
          clarification.

    Contact:   Chet Oszman  202 or FTS-382-4499
3)   Permitting Deadlines for Subpart X Facilities

          The permit application deadline of November 8,  1988  and
          the permit issuance deadline of November 8, 1992
          promulgated in Section 3005(c)  of HSWA, are relevant to
          Subpart X facilities that had interim status as of
          November 8, 1984.  The permit applications due  in 1988
          need only address those units which were listed (or
          should have been listed) in a facility's Part A
          application as of November 1984.  Any permit issuance.
          made in 1992 need address only those units subject to
          the 1988 application deadline (although it can  address
          other units as a discretionary matter).  This may mean
          that permit issuances in 1992 will be partial permits
          since only units with interim status before November 8,
          1984 must be addressed.  Regions are encouraged to
          notify interim status facilities in order to give them
          the opportunity to meet the November 1988 deadline.

    Contact:   Chet Oszman  202 or FTS-382-4499

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                                   OSWER  Directive No. 9523.00-18
                           Attachment A
        Assistance Branch reviews included  in  this  summary
Facility Name

Burnham Corporation
Foundry

CSSI

Hawthorne Army
Ammunition Plant

IBM

Morton Thiokol

SCA
(Model City)

R&O
Fabricating

Sinclair Oil

Tooele Army
Depot

Umatilla Army
Depot

Union Carbide
(Ponce, P.R.)

Union Carbide
(Sisterville, WVA)
Region
V
X
IX
I
VIII
II
VI
VI
VIII
Coordinator
Mark Salee
Chris Rhyne
Sonya Stelmack
Amy Mills
Chet Oszman
Chris Rhyne
Chet Oszman
Dave Eberly
Sonya Stelmack
Review Date
May 1988
May 1988
May 1988
April 1988
May 1988
April 1988
May 1988
April 1988
April 1988
 II
III
Jim Michael

Sonya Stelmack


Dave Eberly


Dave Eberly
May 1988

April 1988


April 1988


May 1988

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                               OSWER Directive No.  9523.00-18
                       Attachment B
List of Guidance Documents used in Preparing the Assistance
Branch Permitting Comments
1.   "Issues Relating to Miscellaneous Units," OSWER Policy
        Directive 19489.00-2 (April 26, 1988).

2.   "Hazardous Waste Miscellaneous Units; Standards
        Applicable to Owners and Operators," Final Rule,
        Federal Register, Vol.  52, No. 237. p. 46946.

3.   Minimum Technology Guidance on Double Liner Systems  for
        Landfills and Surface Impoundments -- Design,
        Construction, and Operation , DRAFT, EPA
        530-SW-85-014, (May 24, 1985).

4.   "RCRA Corrective Action Plan," OSWER Policy Directive
        #9902, (November 14, 1986).

5.   Technical Guidance Document;  Construction Quality
        Assurance for Hazardous Waste Disposal Facilities, EPA
        530-SW-86-031, OSWER Policy Directive 19472.003,
        (October 1986).

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DIVIDER PAGE

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9534 — EQUIPMENT
LEAKS AND PROCESS
VENTS	
Subpart C
                 A.T. Kearney 1/3590/7 cr

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