Current through Register Vol. 49, No. 27, December 30, 2024
Subpart 1.
Scope.
This part applies to owners and operators of facilities that
treat or dispose of hazardous waste in land treatment units except as part
7045.0450 provides
otherwise.
Subp. 2.
Treatment program.
Treatment program requirements are as follows:
A. An owner or operator of a land treatment
unit shall establish a land treatment program that is designed to ensure that
hazardous constituents placed in or on the treatment zone are degraded,
transformed to nonhazardous forms, or immobilized within the treatment zone.
The agency shall specify in the facility permit the elements of the treatment
program, including:
(1) the wastes that are
capable of being treated at the unit based on a treatment
demonstration;
(2) design measures
and operating practices necessary to ensure the success of degradation,
transformation, and immobilization processes in the treatment zone in
accordance with subpart
4, item A; and
(3) unsaturated zone monitoring provisions
meeting the requirements of subpart
6.
B. The agency shall specify in the facility
permit the hazardous constituents that must be degraded, transformed, or
immobilized.
C. The agency shall
specify the vertical and horizontal dimensions of the treatment zone in the
facility permit. The treatment zone is the portion of the unsaturated zone
below and including the land surface in which the owner or operator intends to
maintain the conditions necessary for effective degradation, transformation, or
immobilization of hazardous constituents. The maximum depth of the treatment
zone must be:
(1) not more than 1.5 meters
(five feet) from the initial soil surface; and
(2) more than one meter (three feet) above
the seasonal high water table. The actual separation distance must be based on
soil characteristics, results of the demonstration, proposed management, and
the characteristics of the waste applied. The seasonal high water table must be
determined by monitoring at the unit or by other acceptable means.
Subp. 3.
Treatment demonstration.
Treatment demonstration requirements are as follows:
A. For each waste that will be applied to the
treatment zone, the owner or operator shall demonstrate, prior to application
of the waste, that hazardous constituents in the waste can be completely
degraded, transformed to nonhazardous forms, or immobilized in the treatment
zone.
B. In making this
demonstration, the owner or operator may use laboratory analyses, available
data, or in the case of existing units, operating data and shall conduct field
tests unless a written exemption from field testing is obtained from the
commissioner. The owner or operator shall obtain a land treatment demonstration
permit in accordance with the agency's permitting procedures in chapter 7001.
The agency shall specify in this permit the testing, analytical, design, and
operating requirements, including the duration of the tests and analyses, and,
for field tests, the horizontal and vertical dimensions of the treatment zone,
monitoring procedures, closure, and cleanup activities necessary to meet the
requirements in item C.
C. Any
field test or laboratory analysis conducted in order to make a demonstration
must:
(1) accurately simulate the
characteristics and operating conditions for the proposed land treatment unit
including the characteristics of the waste and the presence of hazardous
constituents that are reasonably expected to be in, or derived from, waste
placed in or on the treatment zone, the climate in the area, the topography of
the surrounding area, the characteristics of the soil in the treatment zone,
including depth, and the operating practices to be used at the unit;
(2) be likely to show that hazardous
constituents in the waste to be tested will be completely degraded, transformed
to a nonhazardous form, or immobilized in the treatment zone of the proposed
land treatment unit;
(3) be
conducted in a manner that protects human health and the environment
considering, the characteristics of the waste to be tested, the operating and
monitoring measures taken during the course of the test, the duration of the
test, the volume of waste used in the test, and the potential for migration of
hazardous constituents to ground water or surface water; and
(4) provide for acceptable statistical
analysis.
Subp.
4.
Design and operating requirements.
The agency shall specify in the facility permit how the owner
or operator shall design, construct, operate, and maintain the land treatment
unit. The owner or operator shall also comply with the following:
A. The owner or operator shall design,
construct, operate, and maintain the unit to ensure the degradation,
transformation to nonhazardous forms, and immobilization of hazardous
constituents in the treatment zone. The owner or operator shall design,
construct, operate, and maintain the unit in accordance with all design and
operating conditions that were used in the treatment demonstration. The agency
shall specify the following in the facility permit:
(1) the rate and method of waste application
to the treatment zone;
(2) measures
to control soil pH;
(3) measures to
enhance microbial or chemical reactions such as fertilization and tilling;
and
(4) measures to control the
moisture content of the treatment zone.
B. The owner or operator shall design,
construct, operate, and maintain the treatment zone to minimize run-off of
hazardous constituents during the active life of the land treatment
unit.
C. The owner or operator
shall design, construct, operate, and maintain a run-on control system capable
of preventing flow onto the treatment zone during peak discharge from at least
a 100-year storm.
D. The owner or
operator shall design, construct, operate, and maintain a run-off management
system to collect and control at least the water volume resulting from a
24-hour, 100-year storm.
E. The
owner or operator of a land treatment unit shall submit to the agency with the
permit application a plan for the treatment and disposal of run-off contained
in the run-off management system.
F. Collection and holding facilities such as
tanks or basins, associated with run-on and run-off control systems must be
emptied or otherwise managed expeditiously after storms to maintain the design
capacity of the system.
G. The
owner or operator shall manage the unit to control wind dispersal.
H. The owner or operator shall inspect the
unit weekly and after storms to detect evidence of:
(1) deterioration, malfunctions, or improper
operation of run-on and run-off control systems; and
(2) improper functioning of wind dispersal
control measures.
If evidence of the conditions described in subitems (1) and
(2) is detected, the owner or operator shall notify the agency of the condition
and the measures taken to correct the condition.
I. The agency shall specify in the permit all
design and operating practices that are necessary to ensure that the
requirements of items A to H are satisfied.
Subp. 5.
Food chain crops.
The agency may specify in the permit the specific conditions
of food chain crop production. The agency shall not allow the growth of food
chain crops in or on the treatment zone unless the owner or operator satisfies
the following requirements:
A. No food
chain crops may be grown during the active life of the unit unless:
(1) the only wastes disposed of at the land
treatment unit are wastes which are hazardous only because they exhibit
characteristics of ignitability, corrosivity, reactivity, or oxidativity as
established in part
7045.0131; and
(2) it can be demonstrated that no
substantial risk to human health exists from the production of food chain crops
in or on the treatment zone. The demonstration must be conducted according to
item C.
B. Food chain
crops may be grown on a land treatment unit after closure if:
(1) cadmium is the only hazardous constituent
present and no more than 5 kg/ha has been applied; or
(2) the cumulative addition of cadmium does
not exceed 10 kg/ha if soil cation exchange capacity (CEC) is 5-15
milliequivalents/100 grams (meq/100g); and 20 kg/ha if the CEC is greater than
15 meq/100g; and
(3) it can be
demonstrated that no substantial risk to human health exists or will exist from
the current or future production of food chain crops in or on the treatment
zone. The demonstration must be conducted according to item C.
C. The demonstration that there is
no substantial risk to human health caused by the growth of food chain crops
must be conducted as specified in subitems (1) to (5). The owner or operator
shall make the required demonstration prior to the planting of crops at the
facility. In making this demonstration, the owner or operator may use field
tests, greenhouse studies, available data, or in the case of existing units,
operating data.
(1) The demonstration must
show that under conditions of current and future land use hazardous
constituents and characteristics will not be transferred to the food or feed
portions of the crop by plant uptake or direct contact, and will not otherwise
be ingested by food chain animals, or that hazardous constituents will not
occur in greater concentrations than in or on identical portions of the same
crops grown on untreated soils under similar conditions in the same
region.
(2) The demonstration must
be based on conditions similar to those present in the treatment zone,
including soil characteristics such as pH, CEC and texture, specific waste
characteristics, application rates and methods, and crops to be
grown.
(3) The demonstration must
describe the procedures used in conducting tests, including the sample
selection criteria, sample size, analytical methods, and statistical
procedures.
(4) The demonstration
must address all hazardous characteristics and all hazardous constituents which
are reasonably expected to be in or derived from the wastes to be deposited at
the unit.
(5) The owner or operator
shall obtain a permit or letter of approval prior to the demonstration in
accordance with the agency's permitting requirements for demonstration permits
in chapter 7001.
Subp.
6.
Unsaturated zone monitoring.
An owner or operator shall establish an unsaturated zone
monitoring program to discharge the following responsibilities:
A. The owner or operator shall monitor the
soil and soil-pore liquid to determine whether hazardous constituents migrate
out of the treatment zone. The agency shall specify the hazardous constituents
to be monitored in the facility permit. The hazardous constituents to be
monitored are those specified under subpart
2, item B. The agency may
require monitoring for principal hazardous constituents in lieu of the
constituents specified under subpart
2, item B. Principal
hazardous constituents are hazardous constituents contained in the wastes to be
applied at the unit that are the most difficult to treat, considering the
combined effects of degradation, transformation, and immobilization. The agency
shall establish principal hazardous constituents if it finds, based on waste
analyses, treatment demonstration, or other data, that effective degradation,
transformation, or immobilization of the principal hazardous constituents will
assure treatment at at least equivalent levels for the other hazardous
constituents in the wastes.
B. The
owner or operator shall install an unsaturated zone monitoring system that
includes soil monitoring using soil cores and soil-pore liquid monitoring using
devices such as lysimeters. The unsaturated zone monitoring system must be
designed and maintained to prevent contamination of the unsaturated zone by
migration through bore holes or along lysimeter installations. The unsaturated
zone monitoring system must consist of a sufficient number of sampling points
at appropriate locations and depths to yield samples that:
(1) represent the quality of background
soil-pore liquid and the chemical makeup of soil that has not been affected by
leakage from the treatment zone; and
(2) indicate the quality of soil-pore liquid
and the chemical makeup of the soil below the treatment zone.
C. The owner or operator shall
establish an unsaturated zone background value for each hazardous constituent
to be monitored. The permit must specify the background values for each
constituent or specify the procedures to be used to calculate the background
values.
Background soil values shall be based on a sampling at the
land treatment unit for new facilities, or at a background plot having
characteristics similar to those of the treatment zone for existing
facilities.
Background soil-pore liquid values must be based on at least
quarterly sampling for one year at the land treatment unit for new facilities
or at a background plot having characteristics similar to those of the
treatment zone for existing facilities.
The owner or operator shall express all background values in
a form necessary for the determination of statistically significant increases
under item F.
In taking samples used in the determination of all background
values, the owner or operator shall use an unsaturated zone monitoring system
that complies with item B, subitem (1).
D. The owner or operator shall conduct soil
monitoring and soil-pore liquid monitoring immediately below the treatment
zone. The agency shall specify the frequency and timing of soil and soil-pore
liquid monitoring in the facility permit after considering the frequency,
timing, and rate of waste application, the climate, and the soil and waste
characteristics. The owner or operator shall express the results of soil and
soil-pore liquid monitoring in a form necessary for the determination of
statistically significant increases under item F.
E. The owner or operator shall use consistent
sampling and analysis procedures that are designed to ensure sampling results
that provide a reliable indication of soil-pore liquid quality and the chemical
makeup of the soil below the treatment zone. The owner or operator shall
implement procedures and techniques for sample collection, sample preservation
and shipment, analytical procedures, and chain of custody control.
F. The owner or operator shall determine
whether there is a statistically significant change over background values for
any hazardous constituent to be monitored under item A below the treatment zone
each time he or she conducts soil monitoring and soil pore liquid monitoring
under item D.
In determining whether a statistically significant increase
has occurred, the owner or operator shall compare the value of a constituent,
as determined under item D to the background value for that constituent
according to the statistical procedure specified in the facility permit.
The owner or operator shall determine whether there has been
a statistically significant increase below the treatment zone within a
reasonable time period after completion of sampling. The determination of
increase must be submitted to the commissioner within two weeks of sampling
unless a different reporting period is established in the permit.
The owner or operator shall determine whether there is a
statistically significant increase below the treatment zone using a statistical
procedure that provides reasonable confidence that migration from the treatment
zone will be identified. The agency shall specify a statistical procedure in
the facility permit that is appropriate for the distribution of the data used
to establish background values and provides a reasonable balance between the
probability of falsely identifying migration of hazardous constituents from the
treatment zone and the probability of failing to identify real migration of
hazardous constituents from the treatment zone.
G. If the owner or operator determines under
item F that there is a statistically significant increase of hazardous
constituents below the treatment zone, he or she shall:
(1) notify the commissioner of this finding
in writing within seven days, indicating in the notice the constituents that
have shown statistically significant increases; and
(2) within 90 days, submit to the agency an
application for a permit modification to modify the operating practices at the
facility in order to maximize the success of degradation, transformation, or
immobilization processes in the treatment zone.
H. If the owner or operator determines under
item F that there is a statistically significant increase of hazardous
constituents below the treatment zone, he or she may demonstrate that a source
other than regulated units caused the increase or that the increase resulted
from an error in sampling, analysis, or evaluation. While the owner or operator
may make a demonstration, he or she is not relieved of the requirement to
submit a permit modification application within the time specified in item G,
subitem (2). In making a demonstration the owner or operator shall:
(1) notify the commissioner in writing within
seven days of determining a statistically significant increase below the
treatment zone that he or she intends to make the determination;
(2) within 90 days, submit a report to the
commissioner demonstrating that a source other than the regulated units caused
the increase or that the increase resulted from error in sampling, analysis, or
evaluation;
(3) within 90 days,
submit to the agency an application for a permit modification to make any
appropriate changes to the unsaturated zone monitoring program at the facility;
and
(4) continue to monitor in
accordance with the unsaturated zone monitoring program.
Subp. 7.
Record
keeping.
The owner or operator shall include hazardous waste
application dates and rates in the operating record required under part
7045.0478. The owner or operator
shall also include in the operating record facility management practices, such
as fertilization, cultivation, irrigation, and crop production, and
climatological data, such as precipitation and temperature.
Subp. 8.
Closure and
postclosure.
Requirements of closure and postclosure are as
follows:
A. During the closure period
the owner or operator shall:
(1) continue all
operations, including pH control, necessary to maximize degradation,
transformation, or immobilization of hazardous constituents within the
treatment zone as required under subpart
4, item A;
(2) continue all operations in the treatment
zone to minimize run-off of hazardous constituents as required under subpart
4, item B;
(3) maintain the run-on control system
required under subpart
4, item C;
(4) maintain the run-off management system
required under subpart
4, item D;
(5) control wind dispersal of hazardous waste
if required under subpart
4, item G;
(6) continue unsaturated zone monitoring in
compliance with subpart
6;
(7) continue to comply with any prohibitions
or conditions concerning growth of food chain crops under subpart
5; and
(8) establish a vegetative cover on the
portion of the facility being closed at such time that the cover will not
substantially impede degradation, transformation, or immobilization of
hazardous constituents in the treatment zone. The vegetative cover must be
capable of maintaining growth without extensive maintenance.
B. For the purpose of complying
with part
7045.0486, subpart
4, when closure is complete
the owner or operator may submit to the commissioner certification by an
independent qualified soil scientist, in lieu of an independent registered
professional engineer, that the facility has been closed in accordance with the
specifications in the approved closure plan.
C. During the postclosure care period the
owner or operator shall:
(1) continue all
operations, including pH control, necessary to enhance degradation and
transformation and sustain immobilization of hazardous constituents in the
treatment zone;
(2) maintain a
vegetative cover over closed portions of the facility;
(3) maintain the run-on control system
required under subpart
4, item C;
(4) maintain the run-off management system
required under subpart
4, item D;
(5) control wind dispersal of hazardous waste
under subpart
4, item G;
(6) continue to comply with any prohibitions
or conditions concerning growth of food chain crops under subpart
5; and
(7) continue unsaturated zone monitoring in
compliance with subpart
6.
D. The owner or operator is not subject to
regulation under items A, subitem (8), and C if the commissioner finds that the
level of hazardous constituents in the treatment zone soil does not exceed the
background value of those constituents by an amount that is statistically
significant when using the test specified in subitem (3). The owner or operator
may submit a demonstration to the commissioner at any time during the closure
or postclosure care periods. For this purpose:
(1) The owner or operator must establish
background soil values and determine whether there is a statistically
significant increase over those values for all hazardous constituents specified
in the facility permit under subpart
2, item B. Background soil
values shall be based on a sampling of the land treatment unit for new
facilities, or at a background plot having characteristics similar to those of
the treatment zone for existing facilities. Background values and values for
hazardous constituents in the treatment zone must be expressed in a form
necessary for the determination of statistically significant increases under
subitem (3).
(2) In taking samples
used in the determination of background and treatment zone values, the owner or
operator shall take samples at a sufficient number of sampling points and at
appropriate locations and depths to yield samples that represent the chemical
makeup of soil that has not been affected by leakage from the treatment zone
and the soil within the treatment zone, respectively.
(3) In determining whether a statistically
significant increase has occurred, the owner or operator shall compare the
value of a hazardous constituent in the treatment zone to the background value
for that hazardous constituent using a statistical procedure that provides
reasonable confidence that the presence of the hazardous constituents in the
treatment zone will be identified. The owner or operator shall use a
statistical procedure that is appropriate for the distribution of the data used
to establish background values and provides a reasonable balance between the
probability of falsely indicating the presence of hazardous constituents in the
treatment zone and the probability of failing to indicate the real presence of
hazardous constituents in the treatment zone.
E. The owner or operator is not subject to
regulation under part
7045.0484 if the commissioner
finds that the owner or operator satisfies item D and if unsaturated zone
monitoring under subpart
6 indicates that hazardous
constituents have not migrated beyond the treatment zone during the active life
of the land treatment unit.
Subp.
9.
Ignitable or reactive waste.
The owner or operator shall not apply ignitable or reactive
waste to the treatment zone unless the waste and the treatment zone meet all
applicable requirements of part
7045.1390, and:
A. the waste is immediately incorporated into
the soil so that the resulting waste, mixture, or dissolution of material no
longer meets the definition of ignitable or reactive waste under part
7045.0131, subpart
2 or
5, and compliance with part
7045.0456, subpart
2 is maintained; or
B. the waste is managed to protect it from
material or conditions which may cause it to ignite or react.
Subp. 10.
Incompatible
wastes.
The owner or operator shall not place incompatible wastes or
incompatible wastes and materials in or on the same treatment zone, unless
compliance with part
7045.0456, subpart
2 is maintained.
Subp. 11.
Special
requirements for hazardous wastes F020, F021, F022, F023, F026, F027, and
F028.
The following requirements apply to the hazardous wastes
indicated:
A. Hazardous wastes F020,
F021, F022, F023, F026, and F027 listed under part
7045.0135, subpart 1a, item B,
must not be placed in a land treatment unit.
B. Hazardous waste F028 and treatment
residues and soils contaminated with hazardous wastes F020, F021, F022, F023,
F026, F027, and F028 listed under part
7045.0135, subpart 1a, item B,
must not be managed at land treatment units unless the owner or operator
operates the land treatment unit in accordance with all applicable requirements
of this part and in accordance with a management plan that is approved by the
commissioner considering the following factors:
(1) the volume, physical, and chemical
characteristics of the wastes, including their potential to migrate through
soil or to volatilize or escape into the atmosphere;
(2) the attenuative properties of underlying
and surrounding soils or other materials;
(3) the mobilizing properties of other
materials codisposed with these wastes; and
(4) the effectiveness of additional
treatment, design, or monitoring techniques.
C. The commissioner shall impose additional
design, operating, and monitoring requirements if the commissioner finds that
the additional requirements are necessary for land treatment facilities used to
treat or dispose of hazardous waste F028 and treatment residues and soils
contaminated with hazardous wastes F020, F021, F022, F023, F026, F027, and F028
listed under part
7045.0135, subpart 1a, item B, in
order to reduce the possibility of migration of these wastes to ground water,
surface water, or air so as to protect human health and the
environment.
Statutory Authority: MS s
14.07;
116.07;
116.37