Current through all regulations passed and filed through September 16, 2024
[Comment: For dates and availability of non-regulatory
government publications, publications of recognized organizations and
associations, federal rules, and federal statutory provisions referenced in
this rule, see paragraph (JJ) of rule
3745-21-01 of the Administrative
Code entitled "referenced materials."]
(A) Applicability.
(1) Except as otherwise provided in
paragraphs (A)(4) and (A)(5) of this rule, paragraph (C) of this rule shall apply to any facility
that generates process wastewater from an affected industrial category and
meets either
paragraphs (A)(1)(a) and (A)(1)(b) of this rule or paragraphs (A)(1)(c) and
(A)(1)(d) of this rule:
(a) The facility is
located in Butler, Clermont, Hamilton or Warren county.
(b) The facility has a combined total
potential to emit for VOC emissions equal to or greater than one hundred tons
of VOC per calendar year on or after May 27, 2005 from all of the following:
(i) Industrial wastewater sources (waste
management units).
(ii) All
non-CTG sources.
(iii)
Unregulated emissions from CTG sources except sources regulated under
40 CFR part 60, subparts BBB, III, NNN, and RRR
and sources regulated
under 40 CFR part 63, subpart T .
(c) The
facility is located in Ashtabula, Cuyahoga, Geauga, Lake, Lorain, Medina,
Portage, or Summit county.
(d) The
facility has a combined total potential to emit for VOC emissions equal to or
greater than one hundred tons of VOC per calendar year on or after August 25,
2008 from all of the following:
(i) Industrial
wastewater sources (waste management units).
(ii) All non-CTG sources.
(iii) Unregulated emissions from CTG sources
except sources regulated under 40 CFR Part 60,
subparts BBB, III, NNN, and
RRR and sources regulated
under 40 CFR part 63, subparts T .
(2) For the purposes of paragraphs (A)(1)(a)
to (A)(1)(d) of this rule, a source shall be considered regulated by a
paragraph, rule or subpart if the source is subject to the limits of that paragraph,
rule, or subpart. A source is not considered regulated by a paragraph, rule, or
subpart if the
source is not subject to the limits of that paragraph, rule, or subpart.
For example, if the source is covered by an exemption in the paragraph, rule,
or subpart, or the applicability criteria of the paragraph or subpart are not
met, then the source is not subject to that paragraph, rule, or subpart. A
source is also not considered regulated if there is no rule contained in this
chapter regulating the source category.
(3) Once a facility has met the applicability
of paragraphs (A)(1)(a) and
(A)(1)(b) of this rule on or after May 27, 2005, or the applicability
requirements of paragraphs (A)(1)(c) and (A)(1)(d) of this rule on or after
August 25, 2008, the facility is
always subject to
paragraph (C) of this rule, except as otherwise provided in paragraphs (A)(4)
and (A)(5) of this rule.
(4) In the
event a facility meets the applicability under paragraphs (A)(1)(a) and
(A)(1)(b) of this rule, but reduces the facility's potential to emit for volatile organic
compounds by means of federally enforceable operational restrictions (e.g.,
production, hours of operation, or capacity utilization) to less than one
hundred tons per year by no later than May 27, 2006 and documents that the
actual VOC emissions from the above combined sources have never exceeded one
hundred tons per year after the baseline year (1990) of the state
implementation plan for ozone, the facility is not subject to
paragraph (C) of this
rule.
(5) In the event a facility
meets the applicability under
paragraphs (A)(1)(c) and (A)(1)(d) of this rule, but reduces
the
facility's potential to emit for VOCs by means of a federally enforceable
operational restriction (e.g., production, hours of operation, or
capacity utilization) to less than one hundred tons per year by no later than
August 25, 2009 and documents that
the actual VOC emissions from the above combined sources have never exceeded
one hundred tons per year after the baseline year (2002) of the state
implementation plan for ozone, the facility is not subject to
paragraph (C) of this
rule.
(B) Definitions.
The definitions applicable to this rule are contained in
paragraph (Y) of rule
3745-21-01 of the Administrative
Code.
(C) Overall
requirements for industrial wastewater.
(1)
Except as otherwise exempted under paragraph (C)(2) of this rule, the owner or
operator of an affected industrial category at a facility that meets the
applicability criteria of paragraph (A) of this rule shall comply with
paragraphs (D) to (L)
of this rule.
(2) The following
exemptions shall apply:
(a) Any plant with an
annual affected VOCs loading in wastewater, as determined in accordance with
paragraph (I) of this rule (relating to determination of wastewater
characteristics), less than or equal to ten megagrams ( 11.03 tons) is exempt
from paragraph
(D) of this rule.
(b) At any plant
with an annual affected VOC loading in wastewater, as determined in accordance
with paragraph (I) of this rule, greater than ten megagrams ( 11.03 tons), the
owner or operator of the plant may exempt from paragraph (D) of this rule one or more
affected VOC wastewater streams for which the sum of the annual VOC loading in
wastewater for all of the exempted streams is less than or equal to ten
megagrams ( 11.03 tons).
(c) If
compliance with
paragraph (D) of this rule would create a safety hazard in a waste management
unit, the owner or operator may request the USEPA to exempt that waste
management unit from paragraph (D) of this rule. The USEPA shall approve the request if
justified by the likelihood and magnitude of the potential injury and if the
USEPA determines that reducing or eliminating the hazard is technologically or
economically unreasonable. Such approval shall occur when the Ohio
EPA is informed, in writing, that USEPA has no
objections to this exemption.
(d)
Wet weather retention basins are exempt from this rule.
(D) Control requirements for process
wastewater.
(1) The owner or operator of a
facility with an affected industrial category shall comply with the following
control requirements. Any waste management unit that receives, manages, or
treats an affected VOC wastewater stream or affected residual shall be
controlled in accordance with paragraph (D)(2) of this rule or with one of the
alternate methods of control listed in paragraph (E) of this rule.
(2) The owner or operator of a facility with
an affected industrial category shall comply with the following control
requirements. Any waste management unit that receives, manages, or treats an
affected VOC wastewater stream or an affected residual shall be controlled in
accordance with paragraphs (D)(3) to (D)(8) of this rule. The control
requirements apply from the point of generation of an affected VOC wastewater
stream until the affected VOC wastewater stream, including any affected
residual, is either returned to a process unit or treated in accordance with
paragraph (D)(8) of this rule.
(3)
For each individual drain system that receives or manages an affected VOC
wastewater stream or an affected residual, the owner or operator shall comply
with either of the
following:
(a) The owner or operator
shall operate and maintain on each opening in the individual drain system a
cover and if vented, route the vapors to a process or through a closed vent
system to a control device as follows:
(i)
The cover and all openings shall be maintained in a closed position at all
times that an affected VOC wastewater stream or an affected residual is in the
drain system except when it is necessary to use the opening for sampling or
removal, or for equipment inspection, maintenance, or repair.
(ii) The control device shall be designed and
operated to reduce the affected VOC vented to it by at least ninety per cent by
weight.
(iii) The individual drain
system shall be designed and operated to segregate the vapors within the system
from other drain systems and the atmosphere.
(b) The owner or operator shall comply with
the
following:
(i) Each drain shall be
equipped with water seal controls or a tightly fitting cap or plug.
(ii) If a water seal is used on a drain
receiving an affected VOC wastewater stream or an affected residual, the owner
or operator shall either extend the pipe discharging the wastewater below the
liquid surface in the water seal of the receiving drain, or install a flexible
shield (or other enclosure which restricts wind motion across the open area
between the pipe and the drain) that encloses the space between the pipe
discharging the wastewater to the drain receiving the wastewater. (A water seal
which is used on a hub receiving a wastewater stream that is not an affected
VOC wastewater stream or an affected residual for the purpose of eliminating
cross ventilation to drains carrying an affected VOC wastewater stream or an
affected residual is not required to have an extended subsurface discharging
pipe or a flexible shield.)
(iii)
Each junction box shall be equipped with a tightly fitting solid cover (i.e.,
no visible gaps, cracks, or holes) which shall be kept in place at all times
except during inspection and maintenance.
(iv) If the junction box is vented, the owner
or operator shall comply with one of the following :
(a)
The junction box shall be vented to a process or through a closed vent system
to a control device that is designed and operated to reduce the VOC vented to
it by at least ninety per cent by weight.
(b) If the junction box is filled and emptied
by gravity flow (i.e., there is no pump) or is operated with no more than
slight fluctuations in the liquid level, the owner or operator may vent the
junction box to the atmosphere provided that the junction box complies with the
following requirements:
(i) The vent pipe
shall be at least ninety centimeters in length and no greater than 10.2
centimeters in nominal inside diameter.
(ii) Water seals shall be installed and
maintained at the wastewater entrance
to or exit from the junction box restricting ventilation in the individual
drain system and between components in the individual drain
system.
(v)
Each sewer line shall not be open to the atmosphere and shall be covered or
enclosed in a manner so as to have no visible gaps or cracks in joints, seals,
or other emission interfaces.
(4) For each surface impoundment that
receives, manages, or treats an affected VOC wastewater stream or an affected
residual, the owner or operator shall comply with either of the following:
(a) The surface impoundment shall be equipped
with a cover (e.g., air-supported structure or rigid cover) and a closed-vent
system which routes the VOC vapors vented from the surface impoundment to a
control device that meets the following :
(i)
Each opening (e.g., access hatch, sampling port, and gauge well) shall be
maintained in a closed position (e.g., covered by a lid) at all times that an
affected VOC wastewater stream or an affected residual is in the surface
impoundment except when it is necessary to use the opening for sampling,
removal, or for equipment inspection, maintenance, or repair.
(ii) The cover shall be used at all times
that an affected VOC wastewater stream or an affected residual is in the
surface impoundment except during removal of treatment residuals in accordance
with
40 CFR
268.4 or closure of the surface impoundment
in accordance with
40 CFR
264.228.
(iii) The control device shall be designed
and operated to reduce the affected VOC vented to it by at least ninety per
cent by weight.
(b) The
surface impoundment shall be equipped with a floating flexible membrane cover
that meets the following:
(i) The
flexible membrane cover shall be designed to float on the liquid surface during
normal operations, and to form a continuous barrier over the entire surface
area of the liquid.
(ii) The
flexible membrane cover shall be fabricated from a synthetic membrane material
that is either a high density polyethylene with a thickness no less than 2.5
millimeters (one hundred mils) or a material (or a composite of different
materials) determined to have both organic permeability properties that are
equivalent to those of the high density polyethylene material and chemical and
physical properties that maintain the material integrity for the intended
service life of the material.
(iii)
The flexible membrane cover shall be installed in a manner such that there are
no visible cracks, holes, gaps, or other open spaces between cover section
seams or between the interface of the cover edge and its foundation
mountings.
(iv) Except as provided
for in paragraph (D)(4)(b)(v) of this rule, each opening in the
flexible membrane cover shall be equipped with a closure device designed to
operate such that when the closure device is secured in the closed position
there are no visible cracks, holes, gaps, or other open spaces in the closure
device or between the perimeter of the cover opening and the closure
device.
(v) The flexible membrane
cover may be equipped with one or more emergency cover drains for removal of
stormwater. Each emergency cover drain shall be equipped with a slotted
membrane fabric cover that covers at least ninety per cent of the area of the
opening or a flexible fabric sleeve seal.
(vi) Whenever an affected VOC wastewater
stream or an affected residual is in the surface impoundment, the flexible
membrane cover shall float on the liquid and each closure device shall be
secured in the closed position. Opening of closure devices or removal of the
flexible membrane cover is allowed to provide access to the surface impoundment
for performing routine inspection, maintenance, or other activities needed for
normal operations or to remove accumulated sludge or other residues from
the bottom of the surface impoundment.
(5) For each oil-water separator that
receives, manages, or treats an affected VOC wastewater stream or an affected
residual, the owner or operator shall comply with either of the following:
(a) The
oil-water separator shall be equipped with a fixed roof and a closed vent
system that routes the vapors vented from the oil-water separator to a control
device in accordance with following :
(i) Each opening in the fixed roof (e.g.,
access hatches, sampling ports, and gauge wells) shall be maintained in a
closed, sealed position (e.g., covered by a lid that is gasketed and latched)
at all times that the oil-water separator contains an affected VOC wastewater
stream or an affected residual except when it is necessary to use the opening
for sampling or removal, or for equipment inspection, maintenance, or
repair.
(ii) The control device
shall be designed and operated to reduce the VOC vented to it by at least
ninety per cent by weight.
(b) The
oil-water separator shall be equipped with a floating roof in accordance with
the following:
(i) The oil-water separator shall be equipped
with a floating roof that has a closure device between the floating roof and
the wall of the separator. For portions of the oil-water separator where it is
infeasible to construct and operate a floating roof, such as over the weir
mechanism, the owner or operator shall operate and maintain a fixed roof,
closed vent system, and control device that
meets
paragraph (D)(5)(a) of this rule.
(ii) The closure device shall consist of a
primary seal and a secondary seal. The primary seal shall be a liquid-mounted
seal or a mechanical shoe seal. The secondary seal shall be above the floating
roof and cover the annular space between the floating roof and the wall of the
separator.
(iii) The floating roof
shall be floating on the liquid (i.e., off the roof supports) at all times
except during abnormal conditions (i.e., low flow rate).
(iv) Except as provided for in paragraph
(D)(5)(b)(v) of this rule, each opening in the floating roof shall be equipped
with a gasketed cover, seal or lid, which shall be maintained in the closed
position at all times, except during inspection and maintenance.
(v) The floating roof may be equipped with
one or more emergency cover drains for removal of stormwater. Each emergency
cover drain shall be equipped with a slotted membrane fabric cover that covers
at least ninety per cent of the area of the opening or a flexible fabric sleeve
seal.
(6) For each
portable container that receives, manages, or treats an affected VOC wastewater
stream or an affected residual, the owner or operator shall operate and
maintain a cover on the portable container and shall comply with the
following:
(a) The cover shall remain in place and all
openings (e.g., bungs, hatches, sampling ports, and pressure relief devices)
shall be maintained in a closed position (e.g., covered by a lid) at all times
that an affected VOC wastewater stream or an affected residual is in the
portable container except when it is necessary to use the opening for filling,
removal, inspection, sampling, or pressure relief events related to safety
considerations to prevent physical damage or permanent deformation of the
portable container or cover.
(b)
For portable containers with a capacity greater than or equal to one hundred
ten gallons, a submerged fill pipe shall be used when a container is being
filled by pumping with an affected VOC wastewater stream or an affected
residual. The submerged fill pipe outlet shall extend to no more than six
inches or within two fill pipe diameters of the bottom of the container while
the container is being filled.
(c)
During treatment of an affected VOC wastewater stream or an affected residual,
including aeration, thermal or other treatment, in a portable container,
whenever it is necessary for the container to be open, the container shall be
located within an enclosure with a closed-vent system that routes the VOC
vapors vented from the container to a control device. The control device shall
be designed and operated to reduce the VOC vented to it by at least ninety per
cent by weight.
(7) For
each wastewater tank that receives, manages, or treats an affected VOC
wastewater stream or an affected residual, the owner or operator shall comply
with either of the following:
(a) The owner or operator shall operate and
maintain a fixed roof for the wastewater tank, except
a
wastewater tank that meets any of the
following conditions :
(i) Used for heating wastewater.
(ii) Used for treating by means of an
exothermic reaction.
(iii) The
contents of the tank is sparged.
(iv) The wastewater tank has a capacity equal
to or greater than forty thousand gallons and the maximum vapor pressure stored
material is equal to or greater than 1.5 pounds per square inch
absolute.
(b) The owner
or operator shall operate and maintain one of the following emission control techniques
:
(i) A fixed roof and a closed-vent system
that routes the VOC vapors vented from the wastewater tank to a control
devicethat meets
the following:
(a) Each opening in the
fixed roof (e.g., access hatches, sampling ports, and gauge wells) shall be
maintained in a closed position (e.g., covered by a lid) at all times that the
wastewater tank contains an affected VOC wastewater stream or an affected
residual except when it is necessary to use the opening for wastewater
sampling, removal, or for equipment inspection, maintenance, or
repair.
(b) The control device
shall be designed and operated to reduce the VOC vented to it by at least
ninety per cent by weight.
(ii) A fixed roof and an internal floating
roof that meets the following:
(a) The
internal floating roof shall be floating on the liquid surface at all times
except when the floating roof shall be supported by the leg supports during initial
fill, after the tank has been completely emptied and degassed, and when the
tank is completely emptied before being subsequently refilled.
(b) When the floating roof is resting on the
leg supports, the process of filling, emptying, or refilling shall be
continuous and shall be accomplished as soon as practical.
(c) The internal floating roof shall be
equipped with a closure device between the wall of the tank and the roof edge.
The closure device shall consist of a liquid-mounted seal, or a metallic shoe
seal, or two seals mounted one above the other so that each forms a continuous
closure that completely covers the space between the wall of the storage vessel
and the edge of the internal floating roof. The lower seal may be
vapor-mounted, but both shall be continuous seals.
(d) Automatic bleeder vents are to be closed
at all times when the roof is floating, except when the roof is being floated
off or is being landed on the roof leg supports.
(e) Each opening in a noncontact internal
floating roof except for automatic bleeder vents (vacuum breaker vents) and rim
space vents is to provide a projection below the liquid surface.
(f) Each opening in the internal floating
roof except for leg sleeves, automatic bleeder vents, rim space vents, column
wells, ladder wells, sample wells, and stub drains shall be equipped with a
cover or lid. The cover or lid shall be equipped with a gasket.
(g) Each penetration of the internal floating
roof for the purposes of sampling shall be a sample well. Each sample well
shall have a slit fabric cover that covers at least ninety per cent of the
opening.
(h) Each automatic bleeder
vent shall be gasketed.
(i) Each
rim space vent shall be gasketed.
(j) Each penetration of the internal floating
roof that allows for passage of a ladder shall have a gasketed sliding
cover.
(k) Each penetration of the
internal floating roof that allows for passage of a column supporting the fixed
roof shall have a flexible fabric sleeve seal or a gasketed sliding
cover.
(l) Each cover or lid on any
opening in the internal floating roof shall be closed (i.e., no visible gaps),
except when the cover or lid shall be open for access. Covers on each access hatch
and each gauge float well shall be bolted or fastened so as to be air-tight
when they are closed. Rim space vents are to be set to open only when the
internal floating roof is not floating or when the pressure beneath the rim
seal exceeds the manufacturer's recommended setting.
(iii) An external floating roof that meets
the following:
(a) Each
external floating roof shall be equipped with a closure device between the wall
of the storage vessel and the roof edge. The closure device is to consist of
two seals, one above the other. The lower seal (primary seal) shall be either a
metallic shoe seal or a liquid-mounted seal. The upper seal (secondary seal)
shall be a rim-mounted or shoe-mounted seal.
(b) Except during inspections, both the
primary seal and the secondary seal shall completely cover the annular space
between the external floating roof and the wall of the storage vessel in a
continuous fashion.
(c) Except for
automatic bleeder vents (vacuum breaker vents) and rim space vents, each
opening in the noncontact external floating roof shall provide a projection
below the liquid surface.
(d)
Except for automatic bleeder vents, rim space vents, roof drains, and leg
sleeves, each opening in the roof is to be equipped with a gasketed cover, seal
or lid which is to be maintained in a closed position (i.e., no visible gap) at
all times except when the cover or lid shall be open for
access. Covers on each access hatch and each gauge float well shall be bolted
or fastened so as to be air-tight when they are closed.
(e) Automatic bleeder vents are to be closed
at all times when the roof is floating, except when the roof is being floated
off or is being landed on the roof leg supports.
(f) Rim space vents are to be set to open
only when the roof is being floated off the roof leg supports or when the
pressure beneath the rim seal exceeds the manufacturer's recommended
setting.
(g) Automatic bleeder
vents and rim space vents are to be gasketed.
(h) Each roof drain that empties into the
stored liquid is to be provided with a slotted membrane fabric cover that
covers at least ninety per cent of the area of the opening.
(i) Each unslotted guide pole well shall have
a gasketed sliding cover or a flexible fabric sleeve seal.
(j) Each unslotted guide pole shall have on
the end of the pole a gasketed cap which is closed at all times except when
gauging the liquid level or taking liquid samples.
(k) Each slotted guide pole well shall have a
gasketed sliding cover or a flexible fabric sleeve seal.
(l) Each slotted guide pole shall have a
gasketed float or other device which closes off the liquid surface from the
atmosphere.
(m) Each gauge
hatch/sample well shall have a gasketed cover which is closed at all times
except when the hatch or well shall be open for access.
(n) The external floating roof shall be
floating on the liquid surface at all times except when the floating roof
shall be
supported by the leg supports during the following periods :
(i) During the initial fill.
(ii) After the tank has been completely
emptied and degassed.
(iii) When
the tank is completely emptied before being subsequently
refilled.
(o) When the
floating roof is resting on the leg supports, the process of filling, emptying,
or refilling shall be continuous and shall be accomplished as soon as
practical.
(8) For each treatment process managing an
affected VOC wastewater stream or an affected residual, the owner or operator
shall comply with paragraphs (D)(8)(a) to (D)(8)(g) of this rule. Once an affected
VOC wastewater stream or an affected residual has been treated in accordance
with paragraphs
(D)(8)(a) to (D)(8)(g) of this rule, it is no longer subject to
this rule.
(a) Each treatment process shall meet the
applicable requirements of paragraphs (D)(3) to (D)(7) of this rule.
(b) Gases vented from a treatment process
shall be routed by means of a closed vent system to a control device which is
designed and operated to reduce the VOC vented to it by at least ninety per
cent by weight. This requirement does not apply to any open biological
treatment process that meets an alternative method of control under paragraph
(E) of this rule. Vents from anaerobic biological treatment processes may be
routed through hard-piping to a fuel gas system.
(c) For each of the affected VOC wastewater
streams that are treated in a nonbiological treatment process (or a combination
of nonbiological treatment processes), the owner or operator shall, by removal
or destruction, reduce the mass flow rate of affected VOC by ninety per cent or
more while reducing the affected VOC concentration to less than one thousand
parts per million by weight. Dilution shall not be used to achieve compliance
with this paragraph. This requirement is not applicable for wastewater of
residuals that comply with the requirements for RCRA treatment options
specified in paragraph (D)(8)(f) of this rule.
(d) The owner or operator using a closed
biological treatment process for at least one affected VOC wastewater stream
shall reduce the mass flow rate for all affected VOC from all wastewater
streams entering the biological treatment process by at least ninety per
cent.
(e) (Design steam stripper
option.) The owner or operator shall operate and maintain a steam stripper that
meets all of the following:
(i) Minimum active column height of five
meters.
(ii) Countercurrent flow
configuration with a minimum of ten actual trays.
(iii) Minimum steam flow rate of 0.04
kilograms of steam per liter of wastewater feed within the column.
(iv) Minimum wastewater feed temperature to
the steam stripper of ninety-five degrees Celsius, or minimum column operating
temperature of ninety-five degrees Celsius.
(v) Maximum liquid loading of sixty-seven
thousand one hundred liters per hour per square meter.
(vi) Operate at nominal atmospheric
pressure.
(f) (RCRA
treatment options.) The owner or operator may elect to treat the affected VOC
wastewater stream or affected residual in a unit identified in, and complying
withone of the
following:
(i) The affected VOC
wastewater stream or affected residual is discharged to a hazardous waste
incinerator for which the owner or operator has been issued a final permit
under 40 CFR part 270 and complies with 40 CFR part 264, subpart O, or
has certified compliance with the interim status requirements of 40 CFR part
265, subpart O.
(ii) The affected
VOC wastewater stream or affected residual is discharged to a process heater or
boiler burning hazardous waste for which the owner or operator:
(a) Has been issued a final permit under 40
CFR part 270 and complies with 40 CFR part 266, subpart H; or
(b) Has certified compliance with the interim
status requirements of 40 CFR part 266, subpart H.
(iii) The affected VOC wastewater stream or
affected residual is discharged to an underground injection well for which the
owner or operator has been issued a final permit under 40 CFR part 270 or 40
CFR part 144 and complies with 40 CFR part 122 . The owner or operator shall comply with all
applicable requirements of this subpart prior to the point where the wastewater
enters the underground portion of the injection well.
(g) (Affected residuals.) For each affected
residual, the owner or operator shall control for air emissions by complying
with paragraphs (D)(3) to (D)(7) of this rule and by complying with one of the
following:
(i) Recycle the affected residual to a
production process or sell the affected residual for the purpose of recycling.
Once an affected residual is returned to a production process, the affected
residual is no longer subject to this rule.
(ii) Return the affected residual to the
treatment process.
(iii) Treat the
affected residual to destroy the total combined mass flow rate of affected VOC
by ninety-nine per cent or more in a nonbiological treatment process.
(iv) Comply with the requirements for RCRA
treatment options specified in paragraph (D)(8)(f) of this
rule.
(E) Alternate methods of control.
The following alternate methods of demonstrating and
documenting continuous compliance with the applicable control requirements or
exemption criteria in this rule may be utilized if approved by the USEPA. Such
approval shall occur when the Ohio EPA is informed, in
writing, that USEPA has no objections to the alternate
method of control.
(1) (Ninety per cent overall control option)
As an alternative to the control requirements of paragraph (D) of this rule
(relating to control requirements), the owner or operator of waste management
units may elect to ensure that the overall control of VOC emissions at the
facility from wastewater from affected source industries is at least ninety per
cent less than the calendar year baseline emissions inventory for VOC emissions
to the ambient air from process wastewater, provided that adequate
documentation is submitted which supports the accuracy of the calendar year
baseline emission inventory and the following requirements are met.
(a) To qualify for the control option
available under paragraph (E)(1) of this rule after May 27, 2005 for facilities located in Butler, Clermont,
Hamilton, or Warren county or August 25, 2008 for facilities located in
Ashtabula, Cuyahoga, Geauga, Lake, Lorain, Medina, Portage, or Summit
county, the owner or operator of a waste management unit for which a
control plan was not previously submitted shall submit a control plan to the
director and the appropriate Ohio EPA
district office or local air agency which demonstrates that the overall
control of VOC emissions at the facility from wastewater from affected
industrial categories will be at least ninety per cent less than the calendar
year baseline emissions inventory. Any control plan submitted after
May 27, 2005 for facilities located in Butler, Clermont,
Hamilton, or Warren county or August 25, 2008 for facilities located in
Ashtabula, Cuyahoga, Geauga, Lake, Lorain, Medina, Portage, or Summit
county, shall be approved by the USEPA in writing before the
owner or operator may use the control option available under paragraph (E)(1)
of this rule for compliance. At a minimum, the control plan shall include the
applicable emissions unit identification; the facility premise number (PN); the
calendar year calendar year baseline emission rates of VOC from wastewater from
affected industrial categories (consistent with the calendar year baseline
emissions inventory); a plot plan showing the location, the emissions unit
identification, and PN associated with a waste management units; the VOC
emission rates for the preceding calendar year; and an explanation of the
recordkeeping procedure and calculations which will be used to demonstrate
compliance. The VOC emission rates shall be calculated in a manner consistent
with the calendar year baseline emissions inventory.
(b) The owner or operator shall submit an
annual report no later than March thirty-first of each year to the director and
the appropriate Ohio EPA district
office or local air agency, which demonstrates that the overall control
of VOC emissions at the account from wastewater from affected industrial
categories during the preceding calendar year is at least ninety per cent less
than the baseline emissions inventory. At a minimum, the report shall include
the PN; the emissions unit identification; the throughput of wastewater from
affected industrial categories; a plot plan showing the location; the emissions
unit identification; and the premise number associated with waste management
units; and the VOC emission rates for the preceding calendar year. The emission
rates for the preceding calendar year shall be calculated in a manner
consistent with the calendar year baseline emissions inventory.
(c) All representations in control plans and
annual reports become enforceable conditions. It shall be unlawful for any
person to vary from such representations if the variation will cause a change
in the identity of the specific emission sources being controlled or the method
of control of emissions unless the owner or operator submits a revised control
plan to the director and the appropriate
Ohio EPA district office or local air agency no later than thirty days
after the change. All control plans and reports shall include documentation
that the overall reduction of VOC emissions at the account from wastewater from
affected source categories continues to be at least ninety per cent less than
the calendar year baseline emissions inventory. The emission rates shall be
calculated in a manner consistent with the calendar year baseline emissions
inventory.
(d) For waste management
units located in Butler, Clermont, Hamilton or Warren county, the calendar year
baseline is 1990.
(e) For waste
management units located in Ashtabula, Cuyahoga, Geauga, Lake, Lorain, Medina,
Portage, or Summit county, the calendar year baseline is
2002.
(2) The owner or
operator of an affected industrial category may elect to comply with the
provisions of 40 CFR part 63, subpart G ("National Emission Standards for
Hazardous Air Pollutants From the Synthetic Organic Chemical Manufacturing
Industry for Process Vents, Storage Vessels, Transfer Operations, and
Wastewater"), 40 CFR part 63, subpart JJJ ("National Emission Standards for
Hazardous Air Pollutants: Group IV Polymers and Resins"), 40 CFR part 63,
subpart FFFF ("National Emission Standards for Hazardous Air Pollutants:
Miscellaneous Organic Chemical Manufacturing") or any other emission standard
promulgated under 40 CFR part 63 that references the wastewater control
requirements set forth in 40 CFR part 63, subpart G if the wastewater stream is
subject to the national emission standards for hazardous air pollutants control
requirements for that category, as alternatives to complying with this rule,
provided the
following:
(a) The term "affected VOC"
is substituted each place that 40 CFR part 63, subpart G, subpart JJJ, subpart
FFFF and any other 40 CFR part 63 emission standard references the term
"organic hazardous air pollutant" or "organic HAP".
(b) For affected VOC not specifically listed
in table 9 of 40 CFR part 63, subpart G the corresponding fraction removed (Fr)
value shall be determined by one of the following:
(i) Determine the Fr value by the procedures
in 40 CFR part 60, appendix J as proposed on December 9, 1998 in the Federal
Register.
(ii)
Assign an Fr value of 0.99.
(iii)
Use WATER9, a wastewater treatment model of USEPA, to determine the Fr value of
a chemical.
(c) Before
implementing the option available under paragraph (E)(2) of this rule, the
owner or operator provides written notice of their intent to utilize this
option to the director and the
appropriate Ohio EPA district office or local air agency of the intention
to use this option.
(F) Inspection and monitoring.
The owner or operator of a waste management unit that is
subject to paragraph (D)
or (E) of this rule shall comply with the following inspection and monitoring
requirements. An owner or operator choosing to comply with a subpart in 40
CFR part 63 in paragraph (E)(2) of this rule, provided
the wastewater
management unit is subject to that subpart, may comply with the
inspection monitoring and record keeping requirements of the subpart instead of
this paragraph .
(1)
[Reserved.]
(2) All seals, covers, closed vent systems,
and other equipment used to comply with paragraph (D) or (E) of this rule
(relating to control requirements) shall be visually inspected for leaks and
improper condition initially, semiannually, and upon repair as specified under
paragraphs (F)(2)(a) to (F)(2)(k) of this rule. If any seal, cover, closed vent
system, or other equipment is found to have a leak or improper condition, a
first attempt at repair shall be completed as soon as possible, but no later
than fifteen calendar days after detection, unless the repair or correction is
technically infeasible without requiring a process unit shutdown, in which case
the repair or correction shall be made at the next process unit shutdown.
(a) For a wastewater tank equipped with a
fixed roof and vapor control system (closed vent system and control device),
visually inspect the fixed roof, openings, and the closed vent system for
leaks, except for a cover and closed vent system maintained under negative
pressure.
(b) For a wastewater tank
equipped with an internal or external floating roof, visually inspect for the
following improper conditions:
(i) Leaving
open any access door or other opening when such door or opening is not in
use.
(ii) The floating roof is not
resting on either the surface of the liquid or on the leg supports.
(iii) There is stored liquid on the floating
roof.
(iv) A rim seal is detached
from the floating roof.
(v) There
are holes, tears, cracks or gaps in the rim seal or seal fabric of the floating
roof.
(vi) There are visible gaps
between the seal of an internal floating roof and the wall of the wastewater
tank.
(vii) Where a metallic shoe
seal is used on an external floating roof, one end of the metallic shoe does
not extend into the stored liquid or one end of the metallic shoe does not
extend a minimum vertical distance of sixty-one centimeters above the surface
of the stored liquid.
(viii) A
gasket, joint, lid, cover, or door has a crack or gap, or is
broken.
(c) For a surface
impoundment, visually inspect the cover and all openings for leaks, except for
a cover and closed vent system maintained under negative pressure.
(d) For a surface impoundment, visually
inspect the following improper conditions:
(i)
Leaving open any access hatch or other opening when such hatch or opening is
not in use.
(ii) A joint, lid,
cover, or door has a crack or gap, or is broken.
(e) For a portable container, visually
inspect the cover and all openings for leaks.
(f) For a portable container that is located
within an enclosure that is vented by means of a closed vent system to a
control device, visually inspect the enclosure and closed vent system for
leaks, except for an enclosure and closed vent system maintained under negative
pressure.
(g) For a portable
container, visually inspect for the following improper conditions:
(i) Leaving open any access hatch or other
opening when such hatch or opening is not in use.
(ii) A cover or door has a gap or crack, or
is broken.
(h) For an
individual drain systems, visually inspect for the following improper
conditions:
(i) A joint, lid, cover, or door
has a gap, crack, hole or is broken.
(ii) Leaving open any access hatch or other
opening when such hatch or opening is not in use for sampling or removal, or
for equipment inspection, maintenance, or repair.
(iii) Sufficient water is not present to
properly maintain integrity of water seals.
(iv) Drains using tightly-fitted caps or
plugs have caps and plugs that are not in place or not properly
installed.
(v) Junction boxes do
not have covers in place or covers have visible gaps, cracks, or
holes.
(vi) Unburied portion of
sewer lines have cracks or gaps.
(i) For a junction box vented to a process or
through a closed vent system to a control device, visually inspect for leaks in
the closed vent system.
(j) For
oil-water separators, visually inspect fixed roof and all openings for
leaks.
(k)
For oil-water separators equipped with a floating roof,
visually inspect for the following improper conditions:
(i) Leaving open or ungasketed any access
door or other opening when such door or opening is not in use.
(ii) The floating roof is not resting on
either the surface of the liquid or on the leg supports.
(iii) There is stored liquid on the floating
roof.
(iv) A rim seal is detached
from the floating roof.
(v) There
are holes, tears, or other open spaces in the rim seal or seal fabric of the
floating roof.
(vi) A gasket,
joint, lid, cover, or door has a gap or crack, or is
broken.
(3)
For a wastewater tank or oil-water separator equipped with an external floating
roof having primary and secondary seals used to comply with paragraph (D) or
(E) of this rule, the secondary seal shall be inspected for seal gaps and
repaired as follows:
(a) The secondary seal
shall be measured for seal gaps initially, annually, and after repair, as
determined under paragraph (I) of rule
3745-21-10 of the Administrative
Code.
(b) The accumulated area of
gaps that exceed one-eighth inch ( 0.32 cm) in width between the secondary seal
and tank wall shall be no greater than 1.0 square inch per foot (twenty-one
square centimeters per meter) of tank diameter.
(c) If the seal gap requirement of paragraph
(F)(3)(b) of this rule is not being met, the secondary
seal shall be repaired or replaced within forty-five days after detection of
the improper seal gap unless the repair or correction is technically infeasible
without requiring a process unit shutdown, in which case the repair or
correction shall be made at the next process unit shutdown.
(4) The following records shall be maintained
on leaks, improper conditions, and improper seal gaps:
(a) The date on which a leak, improper
condition, or improper seal gap is discovered.
(b) The date on which a first attempt at
repair was made to correct the leak or improper condition.
(c) The date on which a leak, improper
condition, or improper seal gap is repaired.
(5) Monitors shall be installed and
maintained as required by this paragraph to measure operational parameters of
any emission control device or other device installed to comply with paragraph
(D) or (E) of this rule. Such monitoring and parameters shall be sufficient to
demonstrate proper functioning of those devices to design specifications, and
include the following monitoring and parameters
:
(a) For an enclosed non-catalytic combustion
device (including, but not limited to, a thermal incinerator, boiler, or
process heater), continuously monitor and record the temperature of the gas
stream either in the combustion chamber or immediately downstream before any
substantial heat exchange.
(b) For
a catalytic incinerator, one of the following:
(i)
Continuously
monitor and record the temperature of the gas stream immediately before and
after the catalyst bed.
(ii)
If an owner or operator elects to implement an
inspection and maintenance plan for the catalytic incinerator that meets
paragraph (F)(7) of this rule, continuously monitor and record the temperature
of the gas stream immediately before the catalyst bed
only.
(c) For a
condenser (chiller), continuously monitor and record the temperature of the gas
stream at the condenser exit.
(d)
For a carbon adsorber, continuously monitor and record the VOC concentration of
exhaust gas stream to determine if breakthrough has occurred. If the carbon
adsorber does not regenerate the carbon bed directly in the control device
(e.g., a carbon canister), the exhaust gas stream shall be monitored daily or
at intervals no greater than twenty per cent of the design replacement
interval, whichever is greater, or as an alternative to conducting monitoring,
the carbon may be replaced with fresh carbon at a regular predetermined time
interval that is less than the carbon replacement interval that is determined
by the maximum design flow rate and the VOC concentration in the gas stream
vented to the carbon adsorber.
(e)
For a flare, meet the requirements specified in
40 CFR
60.18(b).
(f) For a steam stripper, continuously
monitor and record the steam flow rate, the wastewater feed mass flow rate, and
either the wastewater feed temperature or the column operating temperature
(i.e., the temperature in the column top tray liquid phase at the
downcomer).
(g) For vapor control
systems other than those specified in paragraphs (F)(5)(a) to (F)(5)(f) of this rule, continuously
monitor and record the appropriate operating parameters.
(h) In lieu of the monitoring and parameters
listed in paragraphs (F)(5)(a) to (F)(5)(g) of this
rule, other monitoring and parameters may be approved or required by the USEPA.
Such approval or requirement shall occur when the Ohio
EPA is informed, in writing, that USEPA has no
objection to, or requires, the other monitoring and parameters that are
indicated.
(6) For a
closed-vent system that is used to comply with paragraph (D) or (E) of this
rule and that is designed to operate at a pressure below atmospheric pressure,
the closed-vent system shall be equipped with at least one pressure guage or
other pressure measurement device that can be read from a readily accessible
location to verify that negative pressure is being maintained in the
closed-vent system when the control device is operating.
(7)
For an owner or
operator that elects to monitor the inlet temperature only of the catalytic
incinerator, an inspection and maintenance plan shall be developed, maintained
on-site, and made readily available upon the request of the appropriate Ohio
EPA district office or local air agency. At a minimum, the plan shall include
the following:
(a)
Annual sampling and analysis of the catalyst activity
(i.e., conversion efficiency) following the manufacturer's or catalyst
supplier's recommended procedures.
(b)
Monthly
inspection of the oxidizer system including the burner assembly and fuel supply
lines for problems.
(c)
Annual internal and monthly external visual inspection
of the catalyst bed to check for channeling, abrasion, and settling. If
problems are found, corrective action consistent with the manufacturer's
recommendations shall be implemented and a new performance test to determine
destruction efficiency in accordance with paragraph (C) of rule
3745-21-10 of the Administrative
Code shall be conducted.
(d)
Records, and a description of the results of each
inspection and catalyst activity analysis.
(G) Approved test methods.
Compliance with the emission specifications, vapor control
system efficiency, and certain control requirements, inspection requirements,
and exemption criteria of paragraphs (D) to (F) and paragraph (C)(2) of this
rule (relating to control requirements, alternate control requirements,
inspection and monitoring requirements, and exemptions) shall be determined by
applying one or more of the following test methods and procedures, as
appropriate.
(1) (Gas flow rate) USEPA
methods 1, 2, 3 and 4 are used for determining gas flow rates, as
necessary.
(2) Concentration of
affected VOCs in a gas stream.
(a) USEPA
method 18 is used for determining gaseous organic compound emissions by gas
chromatography.
(b) USEPA method 25
is used for determining total gaseous nonmethane organic emissions as
carbon.
(c) USEPA method 25A or 25B
are used for determining total gaseous organic concentrations using flame
ionization or nondispersive infrared analysis.
(3) Performance test for control devices.
(a) For flares, the performance test
requirements of
40 CFR
60.18(b) shall apply.
Compliance with
40 CFR
60.18(b) will be considered
to represent ninety-eight per cent control of the VOC in the flare
inlet.
(b) For control devices
other than flares, the VOC control efficiency shall be determined in accordance
with paragraph (C) of rule
3745-21-10 of the Administrative
Code where the flow rate and VOC concentration of the inlet and outlet gas
streams of the control device are measured as specified under paragraphs (G)(1)
and (G)(2) of this rule.
(4) (Vapor pressure) Use standard reference
texts or ASTM test methods D323-08, D2879-10, D4953-06(2012), D5190-07, or
D5191-12
for the measurement of vapor pressure, adjusted for actual storage
temperature in accordance with API "MPMS Chapter
19.2 ".
(5) (Leak
determination by instrument method) Use USEPA method 21 for determining VOC
leaks and for monitoring a carbon canister in accordance with paragraph
(F)(5)(d) of this rule.
(6) (Determination of VOC concentration of
wastewater samples) Use SW-846 method 5030B (purge and trap) followed by SW-846
method 8015C
with a DB-5 boiling point (or equivalent column), and flame ionization
detector, with the detector calibrated with benzene as required by 40 CFR
part 261;
SW-846 methods 5021, 5030B (followed by 8021B), 8260B, and
9060A as
required by 40 CFR part 261; USEPA methods 602, 624, 1624, 625, 1625;
USEPA method 305; Standard method 5310D
contained in standard methods for the examination of water and wastewater; or
USEPA method 25D. In the event of any conflict, USEPA method 25D takes
precedence.
(7) The measurement of
wastewater flow rate shall be determined with flow measurement devices. Flow
rate measurements shall be taken at the same time as the concentration
measurements.
(8) (Minor
modifications) Minor modifications to these test methods may be used, if
approved by the USEPA. Such approval shall occur when the Ohio
EPA is informed, in writing, that USEPA has no
objections to the minor modifications to the test methods.
(9) (Alternate test methods) Test methods
other than those specified in paragraphs (G)(1) to (G)(8) of this rule may
be used if validated by USEPA method 301.
(H) Recordkeeping.
The owner or operator of an affected industrial category shall
comply with the following recordkeeping requirements.
(1) Complete and up-to-date records shall be
maintained as needed to demonstrate compliance with paragraphs (D) and (E) of
this rule (relating to control requirements and alternate control requirements)
which are sufficient to demonstrate the characteristics of wastewater streams
and the qualification for any exemptions claimed under paragraph (C)(2) of this
rule (relating to exemptions).
(2)
Records shall be maintained of the results of any inspection or monitoring
conducted in accordance with paragraph (F) of this rule (relating to inspection
and monitoring requirements). Records shall be sufficient to demonstrate proper
functioning of applicable control equipment to design specifications to ensure
compliance with paragraphs (D) and (E) of this rule. In
addition, if the owner or operator elects to comply with paragraph
(F)(5)(b)(ii) of this rule, records from the inspection and maintenance plan
for the catalytic incinerator, as specified in paragraph (F)(7) of this rule,
shall be maintained.
(3)
Records shall be maintained of the results of any testing conducted in
accordance with paragraph (G) of this rule (relating to approved test
methods).
(4) All records shall be
maintained at the plant for at least five years and be made available upon
request to USEPA, or the appropriate Ohio EPA district office or local air
agency.
(I) Determination
of wastewater characteristics.
The determination of the characteristics of a wastewater stream
for purposes of this rule shall be made as follows:
(1) The characteristics shall be determined
at a location between the point of generation (as defined by this rule) and
before the wastewater stream is exposed to the atmosphere, treated for VOC
removal, or mixed with another wastewater stream. For wastewater streams at a
facility meeting the applicability under paragraphs (A)(1)(a) and
(A)(1)(b) of this rule and which, prior to May 27, 2005, were either actually
being mixed or construction had commenced which would result in the wastewater
streams being mixed, this mixing shall not establish a limit on where the
characteristics may be determined. For wastewater streams at a facility meeting
the applicability under
paragraphs (A)(1)(c) and (A)(1)(d) of this rule and which, prior to
August 25, 2008, were either actually being mixed or
construction had commenced which would result in the wastewater streams being
mixed, this mixing shall not establish a limit on where the characteristics may
be determined.
(2) The flow rate of
a wastewater stream shall be determined on the basis of an annual average by
one of the following methods:
(a) The highest
annual quantity of wastewater managed, based on historical records for the most
recent five years of operation, or for the entire time the wastewater stream
has existed if less than five years, but at least one year.
(b) The maximum design capacity of the waste
management unit.
(c) The
maximum design capacity to generate wastewater of the process unit generating
the wastewater stream.
(d)
Measurements that are representative of the actual, normal wastewater
generation rates.
(3) The
VOC concentration of a wastewater stream shall be determined on the basis of a
flow-weighted annual average by one of the following methods, or by a
combination of the methods. If the director or USEPA determines that the VOC
concentration cannot be adequately determined by knowledge of the wastewater,
or by bench-scale or pilot-scale test data, the VOC concentration shall be
determined in accordance with paragraph (I)(3)(c) of this rule, or by a
combination of the methods in paragraphs (I)(3)(a)
to (I)(3)(c) of this
rule. VOC with a "Henry's Law Constant" less than 1.8
x10-63atmosphere-cubic
meter/mole ( 0.1 y/x) at twenty-five degrees Celsius shall not be
included in the determination of VOC concentration.
(a) (Knowledge of the wastewater) Sufficient
information to document the VOC concentration. Examples of information include
material balances, records of chemical purchases, or previous test
results.
(b) (Bench-scale or
pilot-scale test data) Sufficient information to demonstrate that the
bench-scale or pilot-scale test concentration data are representative of the
actual VOC concentration.
(c)
(Measurements) Collect a minimum of three representative samples from the
wastewater stream and determine the affected VOC concentration for each sample
in accordance with paragraph (G) of this rule (relating to approved test
methods). The affected VOC concentration of the wastewater stream shall be the
flow-weighted average of the individual samples.
(4) The annual affected VOC loading in
wastewater for a wastewater stream shall be the annual average flow rate
determined in paragraph (I)(2) of this rule multiplied by the annual average
affected VOC concentration determined in paragraph (I)(3) of this
rule.
(5) The annual VOC loading in
wastewater for a plant shall be the sum of the annual VOC loading in wastewater
for each affected VOC wastewater stream.
(6) The "Henry's Law Constant" shall be
determined by the procedures in 40 CFR part 60, appendix J, as proposed on
December 9, 1998 in the Federal Register.
(J) Maintenance wastewater
.
(1) Each owner or operator of a source
subject to this rule shall comply with paragraphs (J)(2) and (J)(3) of this rule for
maintenance wastewaters containing volatile organic compounds.
(2) The owner or operator shall prepare a
description of maintenance procedures for management of wastewaters generated
from the emptying and purging of equipment in the process during temporary
shutdowns for inspections, maintenance, and repair (i.e., a
maintenance-turnaround) and during periods which are not shutdowns (i.e.,
routine maintenance). The descriptions shall specify
the following:
(a)
The process equipment or maintenance tasks that are
anticipated to create wastewater during maintenance activities.
(b)
The procedures that will be followed
to properly manage the wastewater and control VOC emissions to the
atmosphere.
(c)
The procedures to be followed when clearing materials
from the process equipment.
(3) The owner or operator shall modify and
update the information required by paragraph (J)(2) of this rule as needed
following each maintenance procedure based on the actions taken and the
wastewaters generated in the preceding maintenance procedure.
(4) The owner or operator shall maintain a
record of the information required by paragraphs (J)(2) and (J)(3) of this
rule.
(K) Compliance
dates.
(1) Except where otherwise specified
within this rule, any owner or operator of a facility that is subject to this
rule shall comply with
this rule by no later than the following dates:
(a) For a facility located in Butler,
Clermont, Hamilton, or Warren county and for which installation commenced
before May 27, 2005, the compliance date of any waste management unit within
the facility is either May 27, 2006 or the date of initial startup of the waste
management unit, whichever is later.
(b) For a facility located in Butler,
Clermont, Hamilton, or Warren county and for which installation commenced on or
after May 27, 2005, the compliance date of any waste
management unit is the date of initial startup of the waste management
unit.
(c) For a facility located in
Ashtabula, Cuyahoga, Geauga, Lake, Lorain, Medina, Portage, or Summit county
and for which installation commenced before August 25,
2008, the compliance date of any waste management unit within the
facility is either August 25, 2009 or the
date of initial startup of the waste management unit, whichever is
later.
(d) For a facility located
in Ashtabula, Cuyahoga, Geauga, Lake, Lorain, Medina, Portage, or Summit county
and for which installation commenced on or after August 25,
2008, the compliance date of any waste management unit is the date of
initial startup of the waste management unit.
(2) For any emission control device that is
used to comply with an emission control requirement of this rule, the owner or
operator shall demonstrate compliance by testing the emission control device in
accordance with paragraph (G) of this rule within ninety days after the
compliance date.
(3) For any
treatment process (or combined treatment processes) that is used to comply with
this rule, the owner or operator shall demonstrate compliance by testing the
treatment process (or combined treatment processes) in accordance with the
methods in paragraph (G) of this rule within ninety days after the compliance
date.
(4) Additional testing of the
emission control device or the treatment process in accordance with paragraph
(G) of this rule may be required by the director to ensure continued
compliance.
(5) In the event the
owner or operator reduces the facilities potential to emit pursuant to
paragraph (A)(4) or (A)(5) of this rule, the date on which the facility
subsequently meets the applicability criteria of paragraph (A)(1) of this rule
is the date the facility becomes subject to this rule.
(L)
Applicability
notification and permit application.
(1) The
owner or operator of a facility that is subject to this rule, is located in
Butler, Clermont, Hamilton or Warren county, and has an initial startup of a
waste management unit before May 27, 2005 shall notify the appropriate Ohio
EPA district office or local air agency in writing
that the facility is subject to this rule. The notification, which shall be
submitted not later than July 26, 2005, shall provide the information specified
in paragraph (L)(5) of this rule.
(2) The owner or operator of a facility that
is subject to this rule, is located in Butler, Clermont, Hamilton or Warren
county, and has an initial startup of a waste management unit on or after
May 27, 2005, shall notify the appropriate Ohio
EPA district office or local air agency in writing
that the waste management unit is subject to this rule. The notification, which
shall be submitted not later than either the date of initial startup of the
waste management unit or July 26, 2005 (whichever is later), shall provide the
information specified in paragraph (L)(5) of this rule. The application for an
installation permit under rule
3745-31-02 of the Administrative
Code may be used to fulfill the notification requirements of this
paragraph.
(3) The owner or
operator of a facility that is subject to this rule, is located in Ashtabula,
Cuyahoga, Geauga, Lake, Lorain, Medina, Portage, or Summit county, and has an
initial startup of a waste management unit before August 25, 2008, shall notify the appropriate Ohio
EPA district office or local air agency in writing
that the facility is subject to this rule. The notification, which shall be
submitted not later than October 24,
2008, shall provide the information specified in paragraph (L)(5) of this
rule.
(4) The owner or operator of
a facility that is subject to this rule, is located in Ashtabula, Cuyahoga,
Geauga, Lake, Lorain, Medina, Portage, or Summit county, and has an initial
startup of a waste management unit on or after August 25,
2008, shall notify the appropriate Ohio EPA district office or local air agency in writing
that the waste management unit is subject to this rule. The notification, which
shall be submitted not later than either the date of initial startup of the
waste management unit or October 24,
2008 (whichever is later), shall provide the information specified in
paragraph (L)(5) of this rule. The application for an installation permit under
rule 3745-31-02 of the Administrative
Code may be used to fulfill the notification requirements of this
paragraph.
(5) The notification
required in paragraphs (L)(1) to (L)(4) of this rule shall include the
following information:
(a) Name and address
of the owner or operator.
(b)
Address (i.e., physical location) of the facility.
(c) Equipment description and Ohio EPA
application number (if assigned) of any waste management unit.
(d) Identification of the applicable
requirements, the means of compliance, and the compliance date for the waste
management unit.
(e)
An
application for an operating permit or an application for a modification to an
operating permit in accordance with Chapter 3745-77 of the Administrative Code
(for sources subject to the Title V permit program) or an application for a
permit-to-install and operate or an application for a modification to a
permit-to-install and operate in accordance with Chapter 3745-31 of the
Administrative Code (for sources not subject to the Title V permit program) for
each subject process that meets one of the following:
(i)
The process does not
possess an effective operating permit or permit-to-install and operate.
(ii)
The process
possesses an effective operating permit or permit-to-install and operate and
the owner or operator cannot certify in writing to the director that such
subject process is in compliance with this rule. An application for an
operating permit or permit-to-install and operate is not required provided the
subject process is operating under an effective permit and certifies
compliance. Such certification shall include all compliance certification
requirements under paragraph (H) of this rule
[Comment: Applications for sources not
subject to Chapter 3745-77 of the Administrative Code, requiring submittal
prior to June 30, 2008, were submitted in accordance with Chapter 3745-35 of
the Administrative Code.].
Effective: 10/15/2015
Five Year
Review (FYR) Dates: 07/13/2015 and
07/13/2020
Promulgated
Under: 119.03
Statutory Authority: 3704.03(E)
Rule
Amplifies: 3704.03(A), 3704.03(E)
Prior Effective Dates: 5/27/05,
8/25/08, 4/2/2009