Current through Register Vol. 48, No. 38, September 20, 2024
a)
Within 90 days after receiving the final volume of hazardous wastes, or the
final volume of non-hazardous wastes, if the owner or operator complies with
all the applicable requirements of subsections (d) and (e) at a hazardous waste
management unit or facility, or 90 days after approval of the closure plan,
whichever is later, the owner or operator must treat, remove from the unit or
facility, or dispose of on-site all hazardous wastes in accordance with the
approved closure plan. The Agency must approve a longer period if the owner or
operator demonstrates the following:
1) The
need to remain in operation by showing either of the following conditions
exists:
A) The activities required to comply
with this subsection (a) will, of necessity, take longer than 90 days to
complete; or
B) All of the
following conditions are true:
i) The
hazardous waste management unit or facility has the capacity to receive
additional hazardous wastes, or has the capacity to receive non-hazardous
wastes, if the owner or operator complies with subsections (d) and
(e);
ii) There is a reasonable
likelihood that the owner or operator, or another person will recommence
operation of the hazardous waste management unit or facility within one year;
and
iii) Closure of the hazardous
waste management unit or facility would be incompatible with continued
operation of the site; and
2) The owner or operator has taken and will
continue to take all steps to prevent threats to human health and the
environment including compliance with all applicable interim status
requirements.
b) The
owner or operator must complete partial and final closure activities in
accordance with the approved closure plan and within 180 days after receiving
the final volume of hazardous wastes, or the final volume of non-hazardous
wastes, if the owner or operator complies with all applicable requirements of
subsections (d) and (e) at the hazardous waste management unit or facility, or
180 days after approval of the closure plan, if that is later. The Agency must
approve an extension to the closure period if the owner or operator
demonstrates the following:
1) The need to
remain in operation by showing either of the following conditions exists:
A) The partial or final closure activities
will, of necessity, take longer than 180 days to complete; or
B) All of the following conditions are true:
i) The hazardous waste management unit or
facility has the capacity to receive additional hazardous wastes, or the final
volume of non-hazardous wastes, if the owner or operator complies with all the
applicable requirements of subsections (d) and (e); and
ii) There is a reasonable likelihood that the
owner or operator or another person will recommence operation of the hazardous
waste management unit or facility within one year; and
iii) Closure of the hazardous waste
management unit or facility would be incompatible with continued operation of
the site; and
2) The owner or 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.
c) The
demonstration referred to in subsections (a)(1) and (b)(1) must be made as
follows:
1) The demonstration in subsection
(a)(1) must be made at least 30 days prior to the expiration of the 90-day
period in subsection (a); and
2)
The demonstrations in subsection (b)(1) must be made at least 30 days prior to
the expiration of the 180-day period in subsection (b), unless the owner or
operator is otherwise subject to deadlines in subsection (d).
d) Continued Receipt of
Non-Hazardous Waste. The Agency must permit an owner or operator to receive
non-hazardous wastes in a landfill, land treatment unit or surface impoundment
unit after the final receipt of hazardous wastes at that unit if the following
are true:
1) The owner or operator submits an
amended Part B application, or a new Part B application if none was previously
submitted, and demonstrates the following:
A)
The unit has the existing design capacity as indicated on the Part A
application to receive non-hazardous wastes;
B) There is a reasonable likelihood that the
owner or operator or another person will receive non-hazardous waste in the
unit within one year after the final receipt of hazardous wastes;
C) The non-hazardous wastes will not be
incompatible with any remaining wastes in the unit, or with the facility design
and operating requirements of the unit or facility pursuant to this
Part;
D) Closure of the hazardous
waste management unit would be incompatible with continued operation of the
unit or facility; and
E) The owner
or operator is operating and will continue to operate in compliance with all
applicable interim status requirements;
2) The Part B application includes an amended
waste analysis plan, groundwater monitoring and response program, human
exposure assessment required pursuant to 35 Ill. Adm. Code
703.186,
closure and post-closure care plans, updated cost estimates, and demonstrations
of financial assurance for closure and post-closure care, as necessary and
appropriate, to reflect any changes due to the presence of hazardous
constituents in the non-hazardous wastes and changes in closure activities,
including the expected year of closure, if applicable pursuant to Section
725.212(b)(7),
as a result of the receipt of non-hazardous wastes following the final receipt
of hazardous wastes;
3) The Part B
application is amended, as necessary and appropriate, to account for the
receipt of non-hazardous wastes following receipt of the final volume of
hazardous wastes; and
4) The Part B
application and the demonstrations referred to in subsections (d)(1) and (d)(2)
are submitted to the Agency no later than 180 days prior to the date on which
the owner or operator of the facility receives the known final volume of
hazardous wastes or no later than 90 days after this Section applies to the
facility, whichever is later.
e) Surface Impoundments. In addition to the
requirements in subsection (d), an owner or operator of a hazardous waste
surface impoundment that is not in compliance with the liner and leachate
collection system requirements in Section
725.321(a)
must receive non-hazardous wastes only as authorized by an adjusted standard
pursuant to this subsection (e).
1) The
petition for adjusted standard must include the following:
A) A plan for removing hazardous wastes;
and
B) A contingent corrective
measures plan.
2) The
removal plan must provide for the following:
A) Removing all hazardous liquids;
B) Removing all hazardous sludges to the
extent practicable without impairing the integrity of the liner or liners, if
any; and
C) Removal of hazardous
wastes no later than 90 days after the final receipt of hazardous wastes. The
Board will allow a longer time, if the owner or operator demonstrates the
following:
i) That the removal of hazardous
wastes will, of necessity, take longer than the allotted period to complete;
and
ii) That an extension will not
pose a threat to human health and the environment.
3) The following is required of
contingent corrective measures plan:
A) It
must meet the requirements of a corrective action plan pursuant to Section
724.199,
based upon the assumption that a release has been detected from the
unit.
B) It may be a portion of a
corrective action plan previously submitted pursuant to Section
724.199.
C) It may provide for
continued receipt of non-hazardous wastes at the unit following a release only
if the owner or operator demonstrates that continued receipt of wastes will not
impede corrective action.
D) It
must provide for implementation within one year after a release, or within one
year after the grant of the adjusted standard, whichever is later.
4) Release. A release is a
statistically significant increase (or decrease in the case of pH) in hazardous
constituents over background levels, detected in accordance with the
requirements in Subpart F.
5) In
the event of a release, the owner or operator of the unit must perform the
following actions:
A) Within 35 days, the
owner or operator must file with the Board a petition for adjusted standard
pursuant to Section 28.1 of the Act and Subpart D of 35 Ill. Adm. Code 104. If
the Board finds that it is necessary to do so in order to adequately protect
human health and the environment, the Board will modify the adjusted standard
to require the owner or operator to perform either of the following actions:
i) Begin to implement the corrective measures
plan in less than one year; or
ii)
Cease the receipt of wastes until the plan has been implemented.
iii) The Board will retain jurisdiction or
condition the adjusted standard so as to require the filing of a new petition
to address any required closure pursuant to subsection (e)(7);
B) The owner or operator must
implement the contingent corrective measures plan; and
C) The owner or operator may continue to
receive wastes at the unit if authorized by the approved contingent measures
plan.
6) Annual Report.
During the period of corrective action, the owner or operator must provide
annual reports to the Agency that fulfill the following requirements:
A) They must describe the progress of the
corrective action program;
B) They
must compile all groundwater monitoring data; and
C) They must evaluate the effect of the
continued receipt of non-hazardous wastes on the effectiveness of the
corrective action.
7)
Required Closure. The owner or operator must commence closure of the unit in
accordance with the closure plan and the requirements of this Part if the Board
terminates the adjusted standard, or if the adjusted standard terminates
pursuant to its terms.
A) The Board will
terminate the adjusted standard if the owner or operator failed to implement
corrective action measures in accordance with the approved contingent
corrective measures plan.
B) The
Board will terminate the adjusted standard if the owner or operator fails to
make substantial progress in implementing the corrective measures plan and
achieving the facility's groundwater protection standard, or background levels
if the facility has not yet established a groundwater protection
standard.
C) The adjusted standard
will automatically terminate if the owner or operator fails to implement the
removal plan.
D) The adjusted
standard will automatically terminate if the owner or operator fails to timely
file a required petition for adjusted standard.
8) Adjusted Standard Procedures. The
following procedures must be used in granting, modifying or terminating an
adjusted standard pursuant to this subsection.
A) Except as otherwise provided, the owner or
operator must follow the procedures of Section 28.1 of the Act and Subpart D of
35 Ill. Adm. Code 104 to petition the Board for an adjusted standard.
B) Initial Justification. The Board will
grant an adjusted standard, pursuant to subsection (e)(1), if the owner or
operator demonstrates that the removal plan and contingent corrective measures
plans meet the requirements of subsections (e)(2) and (e)(3).
C) The Board will include the following
conditions in granting an adjusted standard pursuant to subsection (e)(1):
i) A plan for removing hazardous
wastes;
ii) A requirement that the
owner or operator remove hazardous wastes in accordance with the
plan;
iii) A contingent corrective
measures plan;
iv) A requirement
that, in the event of a release, the owner or operator must, within 35 days,
file with the Board a petition for adjusted standard, implement the corrective
measures plan, and file semi-annual reports with the Agency;
v) A condition that the adjusted standard
will terminate if the owner or operator fails to implement the removal plan or
timely file a required petition for adjusted standard; and
vi) A requirement that, in the event the
adjusted standard is terminated, the owner or operator must commence closure of
the unit in accordance with the requirements of the closure plan and this
Part.
D) Justification
in the Event of a Release. The Board will modify or terminate the adjusted
standard pursuant to a petition filed pursuant to subsection (e)(5)(A), as
provided in that subsection or in subsection (e)(7).
9) The owner or operator may file a revised
closure plan within 15 days after an adjusted standard is terminated.