Current through Register Vol. 39, No. 6, September 16, 2024
(a)
Section 502(b)(10) changes:
(1) A permittee
may make Section 502(b)(10) changes without having his or her permit revised
if:
(A) the changes are not a modification
pursuant to
15A NCAC
02D or Title I of the federal Clean Air
Act;
(B) the changes do not cause
the emissions allowed in the permit to be exceeded;
(C) the permittee notifies the Director and
EPA in writing at least seven days before the change is made; and
(D) the permittee attaches the notice to the
relevant permit.
(2) The
written notification required by Part (a)(1)(C) of this Rule shall include:
(A) a description of the change;
(B) the date on which the change will
occur;
(C) all changes in
emissions; and
(D) all permit term
or conditions that are no longer applicable as a result of the
change.
(3) Section
502(b)(10) changes shall be made in the permit the next time that the permit is
revised or renewed, whichever comes first.
(b) Off-permit changes. A permittee may make
changes in his or her operation or emissions without revising his or her permit
if:
(1) the change affects only insignificant
activities and the activities remain insignificant after the change;
(2) the change is not covered by any
applicable requirement; and
(3) the
changes are consistent with this Section and would not render existing permit
compliance terms and conditions irrelevant.
(c) Emissions trading.
(1) To the extent that emissions trading is
allowed pursuant to
15A NCAC
02D, including subsequently adopted maximum
achievable control technology standards, emissions trading shall be allowed
without permit revisions provided that:
(A)
all applicable requirements are met;
(B) the permittee complies with all terms and
conditions of the permit in making the emissions trade; and
(C) the permittee notifies the Director and
EPA in writing at least seven days before the trade is made.
(2) If an emissions cap has been
established by a permit condition for the purposes of limiting emissions below
that allowed by an otherwise applicable requirement, emissions trading shall be
allowed to the extent allowed by the permit if:
(A) an emissions cap is established in the
permit to limit emissions;
(B) the
permit specifies the emissions limits with which each source shall comply with
any applicable requirement;
(C) the
permittee complies with all permit terms that ensure the emissions trades are
enforceable, accountable, and quantifiable;
(D) the permittee complies with all
applicable requirements;
(E) the
permittee complies with the emissions trading procedures in the permit;
and
(F) the permittee notifies the
Director and EPA in writing at least seven days before the trade is
made.
(3) The written
notification required in Subparagraph (1) of this Paragraph shall include:
(A) a description of the change;
(B) the date on when the change will
occur;
(C) the change in
emissions;
(D) the permit
requirement with which the facility or source will comply using the emissions
trading provision of the applicable provision of
15A NCAC
02D; and
(E) the pollutants emitted subject to the
emissions trade.
(4) The
written notification required in Subparagraph (2) of this Paragraph shall
include:
(A) a description of the
change;
(B) the date on when the
change will occur;
(C) the changes
in emissions that will result and how the increases and decrease in emissions
will comply with the terms and conditions of the permit.
(d) The permit shield allowed
pursuant to
15A NCAC
02Q .0512 shall not apply to changes made
pursuant to Paragraphs (a), (b), or (c) of this Rule.
Authority
G.S.
143-215.3(a)(1);
143-215.107(a)(10);
143-215.108;
Temporary Adoption Eff. March 8, 1994 for a period of 180 days or until the
permanent rule becomes effective, whichever is sooner;
Eff. July 1,
1994;
Amended Eff. June 1, 2008; December 1, 2005;
Readopted Eff. April 1, 2018.