Current through Register Vol. 48, No. 9, September 27, 2024
(a) Materials which
are not solid wastes. The following materials are not solid wastes for the
purpose of this part:
(1)
(i) Domestic sewage; and
(ii) Any mixture of domestic sewage and other
wastes that passes through a sewer system to a publicly owned treatment works
for treatment, except as prohibited by section 266.505 and Clean Water Act
requirements at R.61-9.403.5(b)(1).
"Domestic sewage" means untreated sanitary wastes that pass through a sewer
system.
(2) Industrial
wastewater discharges that are point source discharges subject to regulation
under section
48-1-10
et seq., of the S. C. Code of Laws of 1976, and section 402 of the Clean Water
Act, as amended.
[Comment: This exclusion applies only to the actual point
source discharge. It does not exclude industrial wastewaters while they are
being collected, stored or treated before discharge, nor does it exclude
sludges that are generated by industrial wastewater treatment] (revised
12/92).
(3) Irrigation
return flows.
(4) Materials covered
under Article 2 of Chapter 7 of Title 13 of the 1976 Code of Laws of S.C., as
amended.
(5) Materials subjected to
in-situ mining techniques which are not removed from the ground as part of the
extraction process.
(6) Pulping
liquors (i.e., black liquor) that are reclaimed in a pulping liquor recovery
furnace and then reused in the pulping process, unless it is accumulated
speculatively as defined in section 261.1(c)(c).
(7) Spent sulfuric acid used to produce
virgin sulfuric acid provided it is not accumulated speculatively as defined in
section 261.1(c).
(8) Secondary
materials that are reclaimed and returned to the original process or processes
in which they were generated where they are reused in the production process
provided:
(i) Only tank storage is involved,
and the entire process through completion of reclamation is closed by being
entirely connected with pipes or other comparable enclosed means of
conveyance;
(ii) Reclamation does
not involve controlled flame combustion (such as occurs in boilers, industrial
furnaces, or incinerators);
(iii)
The secondary materials are never accumulated in such tanks for over twelve
months without being reclaimed; and
(iv) The reclaimed material is not used to
produce a fuel, or used to produce products that are used in a manner
constituting disposal.
(9)
(i)
Spent wood preserving solutions that have been reclaimed and are reused for
their original intended purpose; and
(ii) Wastewaters from the wood preserving
process that have been reclaimed and are reused to treat wood.
(iii) Prior to reuse, the wood preserving
wastewaters and spent wood preserving solutions described in paragraphs
(a)(9)(i) and (a)(9)(ii) of this section , so long as they meet all of the
following conditions:
(A) The wood preserving
wastewaters and spent wood preserving solutions are reused on-site at water
borne plants in the production process for their original intended
purpose;
(B) Prior to reuse, the
wastewaters and spent wood preserving solutions are managed to prevent release
to either land or groundwater or both;
(C) Any unit used to manage wastewaters
and/or spent wood preserving solutions prior to reuse can be visually or
otherwise determined to prevent such releases;
(D) Any drip pad used to manage the
wastewaters and/or spent wood preserving solutions prior to reuse complies with
the standards in part 265, subpart W of this chapter, regardless of whether the
plant generates a total of less than 100 kg/month of hazardous waste;
and
(E) Prior to operating pursuant
to this exclusion, the plant owner or operator prepares a one-time notification
stating that the plant intends to claim the exclusion, giving the date on which
the plant intends to begin operating under the exclusion, and containing the
following language: "I have read the applicable regulation establishing an
exclusion for wood preserving wastewaters and spent wood preserving solutions
and understand it requires me to comply at all times with the conditions set
out in the regulation." The plant must maintain a copy of that document in its
on-site records until closure of the facility. The exclusion applies so long as
the plant meets all of the conditions. If the plant goes out of compliance with
any condition, it may apply to the Department for reinstatement. The Department
may reinstate the exclusion upon finding that the plant has returned to
compliance with all conditions and that the violations are not likely to
recur.
(10)
EPA Hazardous Waste Nos. K060, K087, K141, K142, K143, K144, K145, K147, and
K148, and any wastes from the coke by products processes that are hazardous
only because they exhibit the Toxicity Characteristic (TC) specified in section
261.24 of this part when, subsequent to generation, these materials are
recycled to coke ovens, to the tar recovery process as a feedstock to produce
coal tar, or are mixed with coal tar prior to the tar's sale or refining. This
exclusion is conditioned on there being no land disposal of the wastes from the
point they are generated to the point they are recycled to coke ovens or the
tar recovery or refining processes, or mixed with coal tar.
(11) Nonwastewater splash condenser dross
residue from the treatment of K061 in high temperature metals recovery units,
provided it is shipped in drums (if shipped) and not land disposed before
recovery.
(12)
(i) Oil-bearing hazardous secondary materials
(i.e., sludges, byproducts, or spent materials) that are generated at a
petroleum refinery (SIC code 2911) and are inserted into the petroleum refining
process (SIC code 2911 - including, but not limited to, distillation, catalytic
cracking, fractionation, or thermal cracking units (i.e., cokers)) unless the
material is placed on the land, or speculatively accumulated before being so
recycled. Materials inserted into thermal cracking units are excluded under
this paragraph, provided that the coke product also does not exhibit a
characteristic of hazardous waste. Oil-bearing hazardous secondary materials
may be inserted into the same petroleum refinery where they are generated, or
sent directly to another petroleum refinery, and still be excluded under this
provision. Except, as provided in paragraph (a)(12)(ii) of this section ,
oil-bearing hazardous secondary materials generated elsewhere in the petroleum
industry (i.e., from sources other than petroleum refineries) are not excluded
under this section . Residuals generated from processing or recycling materials
excluded under this paragraph (a)(12)(i), where such materials as generated
would have otherwise met a listing under subpart D of this part, are designated
as F037 listed wastes when disposed of or intended for disposal.
(ii) Recovered oil that is recycled in the
same manner and with the same conditions as described in paragraph (a)(12)(i)
of this section . Recovered oil is oil that has been reclaimed from secondary
materials (including wastewater) generated from normal petroleum industry
practices, including refining, exploration and production, bulk storage, and
transportation incident thereto (SIC codes 1311, 1321, 1381, 1382, 1389, 2911,
4612, 4613, 4922, 4923, 4789, 5171, and 5172.) Recovered oil does not include
oil-bearing hazardous wastes listed in subpart D of this part; however, oil
recovered from such wastes may be considered recovered oil. Recovered oil does
not include used oil as defined in
40
CFR 279.1.
(13) Excluded scrap metal (processed scrap
metal, unprocessed home scrap metal, and unprocessed prompt scrap metal) being
recycled.
(14) Shredded circuit
boards being recycled provided that they are:
(i) Stored in containers sufficient to
prevent a release to the environment prior to recovery; and
(ii) Free of mercury switches, mercury relays
and nickel cadmium batteries and lithium batteries.
(15) Condensates derived from the overhead
gases from kraft mill steam strippers that are used to comply with
40 CFR
63.446(e). The exemption
applies only to combustion at the mill generating the condensates.
(16) [Reserved]
(17) Spent materials (as defined in 261.1)
(other than hazardous wastes listed in subpart D of this part) generated within
the primary mineral processing industry from which minerals, acids, cyanide,
water, or other values are recovered by mineral processing or by beneficiation,
provided that: (11/99; 8/00)
(i) The spent
material is legitimately recycled to recover minerals, acids, cyanide, water or
other values;
(ii) The spent
material is not accumulated speculatively;
(iii) Except as provided in paragraph
(a)(17)(iv) of this section , the spent material is stored in tanks,
containers, or buildings meeting the following minimum integrity standards: a
building must be an engineered structure with a floor, walls, and a roof all of
which are made of non-earthen materials providing structural support (except
smelter buildings may have partially earthen floors provided the secondary
material is stored on the non-earthen portion), and have a roof suitable for
diverting rainwater away from the foundation; a tank must be free standing, not
be a surface impoundment (as defined in 260.10), and be manufactured of a
material suitable for containment of its contents; a container must be free
standing and be manufactured of a material suitable for containment of its
contents. If tanks or containers contain any particulate which may be subject
to wind dispersal, the owner/operator must operate these units in a manner
which controls fugitive dust. Tanks, containers, and buildings must be
designed, constructed and operated to prevent significant releases to the
environment of these materials. (8/00)
(iv) The Department may make a site-specific
determination, after public review and comment, that only solid mineral
processing spent material may be placed on pads rather than tanks, containers,
or buildings. Solid mineral processing spent materials do not contain any free
liquid. The decision-maker must affirm that pads are designed, constructed and
operated to prevent significant releases of the secondary material into the
environment. Pads must provide the same degree of containment afforded by the
non-RCRA tanks, containers and buildings eligible for exclusion.
(A) The decision-maker must also consider if
storage on pads poses the potential for significant releases via groundwater,
surface water, and air exposure pathways. Factors to be considered for
assessing the groundwater, surface water, air exposure pathways are: the volume
and physical and chemical properties of the secondary material, including its
potential for migration off the pad; the potential for human or environmental
exposure to hazardous constituents migrating from the pad via each exposure
pathway, and the possibility and extent of harm to human and environmental
receptors via each exposure pathway.
(B) Pads must meet the following minimum
standards: be designed of non-earthen material that is compatible with the
chemical nature of the mineral processing spent material, capable of
withstanding physical stresses associated with placement and removal, have run
on/runoff controls, be operated in a manner which controls fugitive dust, and
have integrity assurance through inspections and maintenance
programs.
(C) Before making a
determination under this paragraph, the Department must provide notice and the
opportunity for comment to all persons potentially interested in the
determination. This can be accomplished by placing notice of this action in
major local newspapers, or broadcasting notice over local radio
stations.
(v) The owner
or operator provides notice to the Department, providing the following
information: the types of materials to be recycled; the type and location of
the storage units and recycling processes; and the annual quantities expected
to be placed in land-based units. This notification must be updated when there
is a change in the type of materials recycled or the location of the recycling
process. (8/00)
(vi) For purposes
of 261.4(b)(7) mineral processing spent materials must be the result of mineral
processing and may not include any listed hazardous wastes. Listed hazardous
wastes and characteristic hazardous wastes generated by non-mineral processing
industries are not eligible for the conditional exclusion from the definition
of solid waste.
(18)
Petrochemical recovered oil from an associated organic chemical manufacturing
facility, where the oil is to be inserted into the petroleum refining process
(SIC code 2911) along with normal petroleum refinery process streams, provided:
(i) The oil is hazardous only because it
exhibits the characteristic of ignitability (as defined in 261.21) and/or
toxicity for benzene (261.24, waste code D018); and
(ii) The oil generated by the organic
chemical manufacturing facility is not placed on the land, or speculatively
accumulated before being recycled into the petroleum refining process. An
"associated organic chemical manufacturing facility" is a facility where the
primary SIC code is 2869, but where operations may also include SIC codes 2821,
2822, and 2865; and is physically co-located with a petroleum refinery; and
where the petroleum refinery to which the oil being recycled is returned also
provides hydrocarbon feedstocks to the organic chemical manufacturing facility.
"Petrochemical recovered oil" is oil that has been reclaimed from secondary
materials (i.e., sludges, byproducts, or spent materials, including wastewater)
from normal organic chemical manufacturing operations, as well as oil recovered
from organic chemical manufacturing processes.
(19) Spent caustic solutions from petroleum
refining liquid treating processes used as a feedstock to produce cresylic or
naphthenic acid unless the material is placed on the land, or accumulated
speculatively as defined in 261.1(c).
(20) Hazardous secondary materials used to
make zinc fertilizers, provided that the following conditions specified are
satisfied:
(i) Hazardous secondary materials
used to make zinc micronutrient fertilizers must not be accumulated
speculatively, as defined in 261.1(c)(8).
(ii) Generators and intermediate handlers of
zinc-bearing hazardous secondary materials that are to be incorporated into
zinc fertilizers must:
(A) Submit a one-time
notice to the Department which contains the name, address and EPA ID number of
the generator or intermediate handler facility, provides a brief description of
the secondary material that will be subject to the exclusion, and identifies
when the manufacturer intends to begin managing excluded, zinc-bearing
hazardous secondary materials under the conditions specified in this paragraph
(a)(20).
(B) Store the excluded
secondary material in tanks, containers, or buildings that are constructed and
maintained in a way that prevents releases of the secondary materials into the
environment. At a minimum, any building used for this purpose must be an
engineered structure made of non-earthen materials that provide structural
support, and must have a floor, walls and a roof that prevent wind dispersal
and contact with rainwater. Tanks used for this purpose must be structurally
sound and, if outdoors, must have roofs or covers that prevent contact with
wind and rain. Containers used for this purpose must be kept closed except when
it is necessary to add or remove material, and must be in sound condition.
Containers that are stored outdoors must be managed within storage areas that:
(1) have containment structures or systems
sufficiently impervious to contain leaks, spills and accumulated precipitation;
and
(2) provide for effective
drainage and removal of leaks, spills and accumulated precipitation;
and
(3) prevent run-on into the
containment system.
(C)
With each off-site shipment of excluded hazardous secondary materials, provide
written notice to the receiving facility that the material is subject to the
conditions of this paragraph (a)(20).
(D) Maintain at the generator's or
intermediate handler's facility for no less than three years records of all
shipments of excluded hazardous secondary materials. For each shipment these
records must at a minimum contain the following information:
(1) Name of the transporter and date of the
shipment;
(2) Name and address of
the facility that received the excluded material, and documentation confirming
receipt of the shipment; and
(3)
Type and quantity of excluded secondary material in each shipment.
(iii) Manufacturers of
zinc fertilizers or zinc fertilizer ingredients made from excluded hazardous
secondary materials must:
(A) Store excluded
hazardous secondary materials in accordance with the storage requirements for
generators and intermediate handlers, as specified in paragraph (a)(20)(ii)(B)
of this section .
(B) Submit a
one-time notification to the Department that, at a minimum, specifies the name,
address and EPA ID number of the manufacturing facility, and identifies when
the manufacturer intends to begin managing excluded, zinc-bearing hazardous
secondary materials under the conditions specified in this paragraph
(a)(20).
(C) Maintain for a minimum
of three years records of all shipments of excluded hazardous secondary
materials received by the manufacturer, which must at a minimum identify for
each shipment the name and address of the generating facility, name of
transporter and date the materials were received, the quantity received, and a
brief description of the industrial process that generated the
material.
(D) Submit to the
Department an annual report that identifies the total quantities of all
excluded hazardous secondary materials that were used to manufacture zinc
fertilizers or zinc fertilizer ingredients in the previous year, the name and
address of each generating facility, and the industrial process(s) from which
they were generated.
(iv) Nothing in this section preempts,
overrides or otherwise negates the provision in 262.11 of this chapter, which
requires any person who generates a solid waste to determine if that waste is a
hazardous waste.
(v) Interim status
and permitted storage units that have been used to store only zinc-bearing
hazardous wastes prior to the submission of the one-time notice described in
paragraph (a)(20)(ii)(A), and that afterward will be used only to store
hazardous secondary materials excluded under this paragraph, are not subject to
the closure requirements of 264 and 265.
(21) Zinc fertilizers made from hazardous
wastes, or hazardous secondary materials that are excluded under paragraph
(a)(20) of this section , provided that:
(i)
The fertilizers meet the following contaminant limits:
(A) For metal contaminants:
Constituent
|
Maximum Allowable Total Concentration in
Fertilizer, per Unit (1%) of Zinc (ppm)
|
Arsenic
|
0.3
|
Cadmium
|
1.4
|
Chromium
|
0.6
|
Lead
|
2.8
|
Mercury
|
0.3
|
(B) For dioxin contaminants the fertilizer
must contain no more than eight (8) parts per trillion of dioxin, measured as
toxic equivalent (TEQ).
(ii) The manufacturer performs sampling and
analysis of the fertilizer product to determine compliance with the contaminant
limits for metals no less than every six months, and for dioxins no less than
every twelve months. Testing must also be performed whenever changes occur to
manufacturing processes or ingredients that could significantly affect the
amounts of contaminants in the fertilizer product. The manufacturer may use any
reliable analytical method to demonstrate that no constituent of concern is
present in the product at concentrations above the applicable limits. It is the
responsibility of the manufacturer to ensure that the sampling and analysis are
unbiased, precise, and representative of the product(s) introduced into
commerce.
(iii) The manufacturer
maintains for no less than three years records of all sampling and analyses
performed for purposes of determining compliance with the requirements of
paragraph (a)(21)(ii) of this section . Such records must at a minimum include:
(A) The dates and times product samples were
taken, and the dates the samples were analyzed;
(B) The names and qualifications of the
person(s) taking the samples;
(C) A
description of the methods and equipment used to take the samples;
(D) The name and address of the laboratory
facility at which analyses of the samples were performed;
(E) A description of the analytical methods
used, including any cleanup and sample preparation methods; and
(F) All laboratory analytical results used to
determine compliance with the contaminant limits specified in this paragraph
(a)(21).
(22)
Used Cathode Ray Tubes (CRTs)
(i) Used, intact
CRTs as defined in Sec. 260.10 of this chapter are not solid wastes within the
United States unless they are disposed, or unless they are speculatively
accumulated as defined in 261.1(c)(8) by CRT collectors or glass
processors.
(ii) Used, intact CRTs
as defined in Sec. 260.10 of this chapter are not solid wastes when exported
for recycling provided that they meet the requirements of Sec.
261.40.
(iii) Used, broken CRTs as
defined in Sec. 260.10 of this chapter are not solid wastes provided that they
meet the requirements of 261.39.
(iv) Glass removed from CRTs is not a solid
waste provided that it meets the requirements of 261.39(c).
(23) Hazardous secondary material
generated and legitimately reclaimed within the United States or its
territories and under the control of the generator, provided that the material
complies with paragraphs (a)(23)(i) and (ii) of this section :
(i)
(A) The
hazardous secondary material is generated and reclaimed at the generating
facility (for purposes of this definition, generating facility means all
contiguous property owned, leased, or otherwise controlled by the hazardous
secondary material generator); or
(B) The hazardous secondary material is
generated and reclaimed at different facilities, if the reclaiming facility is
controlled by the generator or if both the generating facility and the
reclaiming facility are controlled by a person as defined in section 260.10,
and if the generator provides one of the following certifications: "on behalf
of [insert generator facility name], I certify that this facility will send the
indicated hazardous secondary material to [insert reclaimer facility name],
which is controlled by [insert generator facility name] and that [insert name
of either facility] has acknowledged full responsibility for the safe
management of the hazardous secondary material," or "on behalf of [insert
generator facility name], I certify that this facility will send the indicated
hazardous secondary material to [insert reclaimer facility name], that both
facilities are under common control, and that [insert name of either facility]
has acknowledged full responsibility for the safe management of the hazardous
secondary material." For purposes of this paragraph, "control" means the power
to direct the policies of the facility, whether by the ownership of stock,
voting rights, or otherwise, except that contractors who operate facilities on
behalf of a different person as defined in section 260.10 shall not be deemed
to "control" such facilities. The generating and receiving facilities must both
maintain at their facilities for no less than three (3) years records of
hazardous secondary materials sent or received under this exclusion. In both
cases, the records must contain the name of the transporter, the date of the
shipment, and the type and quantity of the hazardous secondary material shipped
or received under the exclusion. These requirements may be satisfied by routine
business records (e.g., financial records, bills of lading, copies of
Department of Transportation (DOT) shipping papers, or electronic
confirmations); or
(C) The
hazardous secondary material is generated pursuant to a written contract
between a tolling contractor and a toll manufacturer and is reclaimed by the
tolling contractor, if the tolling contractor certifies the following: "On
behalf of [insert tolling contractor name], I certify that [insert tolling
contractor name] has a written contract with [insert toll manufacturer name] to
manufacture [insert name of product or intermediate] which is made from
specified unused materials, and that [insert tolling contractor name] will
reclaim the hazardous secondary materials generated during this manufacture. On
behalf of [insert tolling contractor name], I also certify that [insert tolling
contractor name] retains ownership of, and responsibility for, the hazardous
secondary materials that are generated during the course of the manufacture,
including any releases of hazardous secondary materials that occur during the
manufacturing process". The tolling contractor must maintain at its facility
for no less than three (3) years records of hazardous secondary materials
received pursuant to its written contract with the tolling manufacturer, and
the tolling manufacturer must maintain at its facility for no less than three
(3) years records of hazardous secondary materials shipped pursuant to its
written contract with the tolling contractor. In both cases, the records must
contain the name of the transporter, the date of the shipment, and the type and
quantity of the hazardous secondary material shipped or received pursuant to
the written contract. These requirements may be satisfied by routine business
records (e.g., financial records, bills of lading, copies of DOT shipping
papers, or electronic confirmations). For purposes of this paragraph, tolling
contractor means a person who arranges for the production of a product or
intermediate made from specified unused materials through a written contract
with a toll manufacturer. Toll manufacturer means a person who produces a
product or intermediate made from specified unused materials pursuant to a
written contract with a tolling contractor.
(ii)
(A)
The hazardous secondary material is contained as defined in section 260.10. A
hazardous secondary material released to the environment is discarded and a
solid waste unless it is immediately recovered for the purpose of reclamation.
Hazardous secondary material managed in a unit with leaks or other continuing
or intermittent unpermitted releases is discarded and a solid waste.
(B) The hazardous secondary material is not
speculatively accumulated, as defined in section 261.1(c)(8).
(C) Notice is provided as required by section
260.42.
(D) The material is not
otherwise subject to material-specific management conditions under paragraph
(a) of this section when reclaimed, and it is not a spent lead-acid battery
(see section s 266.80 and 273.2).
(E) Persons performing the recycling of
hazardous secondary materials under this exclusion must maintain documentation
of their legitimacy determination on-site. Documentation must be a written
description of how the recycling meets all three factors in section 260.43(a)
and how the factor in section 260.43(b) was considered. Documentation must be
maintained for three (3) years after the recycling operation has
ceased.
(F) The emergency
preparedness and response requirements found in R.61-79.261 subpart M are
met.
(24)
Hazardous secondary material that is generated and then transferred to another
person for the purpose of reclamation is not a solid waste, provided that:
(i) The material is not speculatively
accumulated, as defined in section 261.1(c)(8);
(ii) The material is not handled by any
person or facility other than the hazardous secondary material generator, the
transporter, an intermediate facility or a reclaimer, and, while in transport,
is not stored for more than ten (10) days at a transfer facility, as defined in
section 260.10, and is packaged according to applicable DOT regulations at 49
CFR parts 173, 178, and 179 while in transport;
(iii) The material is not otherwise subject
to material-specific management conditions under paragraph (a) of this section
when reclaimed, and it is not a spent lead-acid battery (see section s 266.80
and 273.2);
(iv) The reclamation of
the material is legitimate, as specified under section 260.43;
(v) The hazardous secondary material
generator satisfies all of the following conditions:
(A) The material must be contained as defined
in section 260.10. A hazardous secondary material released to the environment
is discarded and a solid waste unless it is immediately recovered for the
purpose of recycling. Hazardous secondary material managed in a unit with leaks
or other continuing releases is discarded and a solid waste.
(B) Prior to arranging for transport of
hazardous secondary materials to a reclamation facility (or facilities) where
the management of the hazardous secondary materials is not addressed under a
RCRA part B permit or interim status standards, the hazardous secondary
material generator must make reasonable efforts to ensure that each reclaimer
intends to properly and legitimately reclaim the hazardous secondary material
and not discard it, and that each reclaimer will manage the hazardous secondary
material in a manner that is protective of human health and the environment. If
the hazardous secondary material will be passing through an intermediate
facility where the management of the hazardous secondary materials is not
addressed under a RCRA part B permit or interim status standards, the hazardous
secondary material generator must make contractual arrangements with the
intermediate facility to ensure that the hazardous secondary material is sent
to the reclamation facility identified by the hazardous secondary material
generator, and the hazardous secondary material generator must perform
reasonable efforts to ensure that the intermediate facility will manage the
hazardous secondary material in a manner that is protective of human health and
the environment. Reasonable efforts must be repeated at a minimum of every
three (3) years for the hazardous secondary material generator to claim the
exclusion and to send the hazardous secondary materials to each reclaimer and
any intermediate facility. In making these reasonable efforts, the generator
may use any credible evidence available, including information gathered by the
hazardous secondary material generator, provided by the reclaimer or
intermediate facility, and/or provided by a third party. The hazardous
secondary material generator must affirmatively answer all of the following
questions for each reclamation facility and any intermediate facility:
(1) Does the available information indicate
that the reclamation process is legitimate pursuant to section 260.43? In
answering this question, the hazardous secondary material generator can rely on
their existing knowledge of the physical and chemical properties of the
hazardous secondary material, as well as information from other sources (e.g.,
the reclamation facility, audit reports, etc.) about the reclamation
process.
(2) Does the publicly
available information indicate that the reclamation facility and any
intermediate facility that is used by the hazardous secondary material
generator notified the appropriate authorities of hazardous secondary materials
reclamation activities pursuant to section 260.42 and have they notified the
appropriate authorities that the financial assurance condition is satisfied per
paragraph (a)(24)(vi)(F) of this section ? In answering these questions, the
hazardous secondary material generator can rely on the available information
documenting the reclamation facility's and any intermediate facility's
compliance with the notification requirements per section 260.42, including the
requirement in section 260.42(a)(5) to notify the Department whether the
reclaimer or intermediate facility has financial assurance.
(3) Does publicly available information
indicate that the reclamation facility or any intermediate facility that is
used by the hazardous secondary material generator has not had any formal
enforcement actions taken against the facility in the previous three (3) years
for violations of RCRA hazardous waste regulations and has not been classified
as a significant non-complier? In answering this question, the hazardous
secondary material generator can rely on the publicly available information
from EPA or the state. If the reclamation facility or any intermediate facility
that is used by the hazardous secondary material generator has had a formal
enforcement action taken against the facility in the previous three (3) years
for violations of RCRA hazardous waste regulations and has been classified as a
significant non-complier, does the hazardous secondary material generator have
credible evidence that the facilities will manage the hazardous secondary
materials properly? In answering this question, the hazardous secondary
material generator can obtain additional information from EPA, the state, or
the facility itself that the facility has addressed the violations, taken
remedial steps to address the violations and prevent future violations, or that
the violations are not relevant to the proper management of the hazardous
secondary materials.
(4) Does the
available information indicate that the reclamation facility and any
intermediate facility that is used by the hazardous secondary material
generator have the equipment and trained personnel to safely recycle the
hazardous secondary material? In answering this question, the generator may
rely on a description by the reclamation facility or by an independent third
party of the equipment and trained personnel to be used to recycle the
generator's hazardous secondary material.
(5) If residuals are generated from the
reclamation of the excluded hazardous secondary materials, does the reclamation
facility have the permits required (if any) to manage the residuals? If not,
does the reclamation facility have a contract with an appropriately permitted
facility to dispose of the residuals? If not, does the hazardous secondary
material generator have credible evidence that the residuals will be managed in
a manner that is protective of human health and the environment? In answering
these questions, the hazardous secondary material generator can rely on
publicly available information from EPA or the state, or information provided
by the facility itself.
(C) The hazardous secondary material
generator must maintain for a minimum of three (3) years documentation and
certification that reasonable efforts were made for each reclamation facility
and, if applicable, intermediate facility where the management of the hazardous
secondary materials is not addressed under a RCRA part B permit or interim
status standards prior to transferring hazardous secondary material.
Documentation and certification must be made available upon request by a
regulatory authority within seventy-two (72) hours, or within a longer period
of time as specified by the regulatory authority. The certification statement
must:
(1) Include the printed name and
official title of an authorized representative of the hazardous secondary
material generator company, the authorized representative's signature, and the
date signed;
(2) Incorporate the
following language: "I hereby certify in good faith and to the best of my
knowledge that, prior to arranging for transport of excluded hazardous
secondary materials to [insert name(s) of reclamation facility and any
intermediate facility], reasonable efforts were made in accordance with section
261.4(a)(24)(v)(B) to ensure that the hazardous secondary materials would be
recycled legitimately, and otherwise managed in a manner that is protective of
human health and the environment, and that such efforts were based on current
and accurate information."
(D) The hazardous secondary material
generator must maintain at the generating facility for no less than three (3)
years records of all off-site shipments of hazardous secondary materials. For
each shipment, these records must, at a minimum, contain the following
information:
(1) Name of the transporter and
date of the shipment;
(2) Name and
address of each reclaimer and, if applicable, the name and address of each
intermediate facility to which the hazardous secondary material was
sent;
(3) The type and quantity of
hazardous secondary material in the shipment.
(E) The hazardous secondary material
generator must maintain at the generating facility for no less than three (3)
years confirmations of receipt from each reclaimer and, if applicable, each
intermediate facility for all off-site shipments of hazardous secondary
materials. Confirmations of receipt must include the name and address of the
reclaimer (or intermediate facility), the type and quantity of the hazardous
secondary materials received and the date which the hazardous secondary
materials were received. This requirement may be satisfied by routine business
records (e.g., financial records, bills of lading, copies of
DOT shipping papers, or electronic confirmations of receipt);
(F) The hazardous secondary material
generator must comply with the emergency preparedness and response conditions
in R.61-79.261 subpart M.
(vi) Reclaimers of hazardous secondary
material excluded from regulation under this exclusion and intermediate
facilities as defined in section 260.10 satisfy all of the following
conditions:
(A) The reclaimer and intermediate
facility must maintain at its facility for no less than three (3) years records
of all shipments of hazardous secondary material that were received at the
facility and, if applicable, for all shipments of hazardous secondary materials
that were received and subsequently sent off-site from the facility for further
reclamation. For each shipment, these records must at a minimum contain the
following information:
(1) Name of the
transporter and date of the shipment;
(2) Name and address of the hazardous
secondary material generator and, if applicable, the name and address of the
reclaimer or intermediate facility from which the hazardous secondary materials
were received;
(3) The type and
quantity of hazardous secondary material in the shipment; and
(4) For hazardous secondary materials that,
after being received by the reclaimer or intermediate facility, were
subsequently transferred off-site for further reclamation, the name and address
of the (subsequent) reclaimer and, if applicable, the name and address of each
intermediate facility to which the hazardous secondary material was
sent.
(B) The
intermediate facility must send the hazardous secondary material to the
reclaimer(s) designated by the hazardous secondary materials
generator.
(C) The reclaimer and
intermediate facility must send to the hazardous secondary material generator
confirmations of receipt for all off-site shipments of hazardous secondary
materials. Confirmations of receipt must include the name and address of the
reclaimer (or intermediate facility), the type and quantity of the hazardous
secondary materials received and the date which the hazardous secondary
materials were received. This requirement may be satisfied by routine business
records (e.g., financial records, bills of lading, copies of DOT shipping
papers, or electronic confirmations of receipt).
(D) The reclaimer and intermediate facility
must manage the hazardous secondary material in a manner that is at least as
protective as that employed for analogous raw material and must be contained.
An "analogous raw material" is a raw material for which a hazardous secondary
material is a substitute and serves the same function and has similar physical
and chemical properties as the hazardous secondary material.
(E) Any residuals that are generated from
reclamation processes will be managed in a manner that is protective of human
health and the environment. If any residuals exhibit a hazardous characteristic
according to R.61-79.261 subpart C, or if they themselves are specifically
listed in R.6-79.261 subpart D, such residuals are hazardous wastes and must be
managed in accordance with the applicable requirements of R.61-79.260 through
272.
(F) The reclaimer and
intermediate facility have financial assurance as required under R.61-79.261
subpart H,
(vii) In
addition, all persons claiming the exclusion under paragraph (a)(24) of this
section must provide notification as required under section 260.42.
(25) Hazardous secondary material
that is exported from the United States and reclaimed at a reclamation facility
located in a foreign country is not a solid waste, provided that the hazardous
secondary material generator complies with the applicable requirements of
paragraph (a)(24)(i) through (v) of this section (excepting paragraph
(a)(24)(v)(B)(2) of this section for foreign reclaimers and foreign
intermediate facilities), and that the hazardous secondary material generator
also complies with the following requirements:
(i) Notify EPA of an intended export before
the hazardous secondary material is scheduled to leave the United States. A
complete notification must be submitted at least sixty (60) days before the
initial shipment is intended to be shipped off-site. This notification may
cover export activities extending over a twelve (12) month or lesser period.
The notification must be in writing, signed by the hazardous secondary material
generator, and include the following information:
(A) Name, mailing address, telephone number,
and EPA Identification Number (if applicable) of the hazardous secondary
material generator;
(B) A
description of the hazardous secondary material and the EPA hazardous waste
number that would apply if the hazardous secondary material was managed as
hazardous waste, and the DOT proper shipping name, hazard class, and ID number
(UN/NA) for each hazardous secondary material as identified in 49 CFR parts 171
through 177;
(C) The estimated
frequency or rate at which the hazardous secondary material is to be exported
and the period of time over which the hazardous secondary material is to be
exported;
(D) The estimated total
quantity of hazardous secondary material;
(E) All points of entry to and departure from
each foreign country through which the hazardous secondary material will
pass;
(F) A description of the
means by which each shipment of the hazardous secondary material will be
transported (e.g., mode of transportation vehicle (air, highway, rail, water,
etc.), and type(s) of container (drums, boxes, tanks, etc.));
(G) A description of the manner in which the
hazardous secondary material will be reclaimed in the country of
import;
(H) The name and address of
the reclaimer, any intermediate facility and any alternate reclaimer and
intermediate facilities; and
(I)
The name of any countries of transit through which the hazardous secondary
material will be sent and a description of the approximate length of time it
will remain in such countries and the nature of its handling while there (for
purposes of this section , the terms "EPA Acknowledgement of Consent", "country
of import", and "country of transit" are used as defined in section 262.81 with
the exception that the terms in this section refer to hazardous secondary
materials, rather than hazardous waste):
(ii) Notifications must be submitted
electronically using EPA's Waste Import Export Tracking System (WIETS), or its
successor system.
(iii) Except for
changes to the telephone number in paragraph (a)(25)(i)(A) of this section and
decreases in the quantity of hazardous secondary material indicated pursuant to
paragraph (a)(25)(i)(D) of this section , when the conditions specified on the
original notification change (including any exceedance of the estimate of the
quantity of hazardous secondary material specified in the original
notification), the hazardous secondary material generator must provide EPA with
a written renotification of the change. The shipment cannot take place until
consent of the country of import to the changes (except for changes to
paragraph (a)(25)(i)(I) of this section and in the ports of entry to and
departure from countries of transit pursuant to paragraphs (a)(25)(i)(E) of
this section) has been obtained and the hazardous secondary material generator
receives from EPA an EPA Acknowledgment of Consent reflecting the country of
import's consent to the changes.
(iv) Upon request by EPA, the hazardous
secondary material generator shall furnish to EPA any additional information
which a country of import requests in order to respond to a
notification.
(v) EPA will provide
a complete notification to the country of import and any countries of transit.
A notification is complete when EPA receives a notification which EPA
determines satisfies the requirements of paragraph (a)(25)(i) of this section .
Where a claim of confidentiality is asserted with respect to any notification
information required by paragraph (a)(25)(i) of this section , EPA may find the
notification not complete until any such claim is resolved in accordance with
40 CFR
260.2.
(vi) The export of hazardous secondary
material under this paragraph (a)(25) is prohibited unless the country of
import consents to the intended export. When the country of import consents in
writing to the receipt of the hazardous secondary material, EPA will send an
EPA Acknowledgment of Consent to the hazardous secondary material generator.
Where the country of import objects to receipt of the hazardous secondary
material or withdraws a prior consent, EPA will notify the hazardous secondary
material generator in writing. EPA will also notify the hazardous secondary
material generator of any responses from countries of transit.
(vii) For exports to OECD Member countries,
the receiving country may respond to the notification using tacit consent. If
no objection has been lodged by any country of import or countries of transit
to a notification provided pursuant to paragraph (a)(25)(i) of this section
within thirty (30) days after the date of issuance of the acknowledgement of
receipt of notification by the competent authority of the country of import,
the transboundary movement may commence. In such cases, EPA will send an EPA
Acknowledgment of Consent to inform the hazardous secondary material generator
that the country of import and any relevant countries of transit have not
objected to the shipment, and are thus presumed to have consented tacitly.
Tacit consent expires one (1) calendar year after the close of the thirty (30)
day period; renotification and renewal of all consents is required for exports
after that date.
(viii) A copy of
the EPA Acknowledgment of Consent must accompany the shipment. The shipment
must conform to the terms of the EPA Acknowledgment of Consent.
(ix) If a shipment cannot be delivered for
any reason to the reclaimer, intermediate facility, or the alternate reclaimer
or alternate intermediate facility, the hazardous secondary material generator
must re-notify EPA of a change in the conditions of the original notification
to allow shipment to a new reclaimer in accordance with paragraph (iii) of this
section and obtain another EPA Acknowledgment of Consent.
(x) Hazardous secondary material generators
must keep a copy of each notification of intent to export and each EPA
Acknowledgment of Consent for a period of three (3) years following receipt of
the EPA Acknowledgment of Consent. They may satisfy this recordkeeping
requirement by retaining electronically submitted notifications or
electronically generated Acknowledgements in their account on EPA's Waste
Import Export Tracking System (WIETS), or its successor system, provided that
such copies are readily available for viewing and production if requested by
any EPA or authorized state inspector. No hazardous secondary material
generator may be held liable for the inability to produce a notification or
Acknowledgement for inspection under this section if they can demonstrate that
the inability to produce such copies are due exclusively to technical
difficulty with EPA's Waste Import Export Tracking System (WIETS), or its
successor system for which the hazardous secondary material generator bears no
responsibility.
(xi) Hazardous
secondary material generators must file with the Administrator no later than
March 1 of each year, a report summarizing the types, quantities, frequency,
and ultimate destination of all hazardous secondary materials exported during
the previous calendar year. Annual reports must be submitted electronically
using EPA's Waste Import Export Tracking System (WIETS), or its successor
system. Such reports must include the following information:
(A) Name, mailing and site address, and EPA
Identification Number (if applicable) of the hazardous secondary material
generator;
(B) The calendar year
covered by the report;
(C) The name
and site address of each reclaimer and intermediate facility;
(D) By reclaimer and intermediate facility,
for each hazardous secondary material exported, a description of the hazardous
secondary material and the EPA hazardous waste number that would apply if the
hazardous secondary material was managed as hazardous waste, the DOT hazard
class, the name and EPA Identification Number (where applicable) for each
transporter used, the total amount of hazardous secondary material shipped, and
the number of shipments pursuant to each notification;
(E) A certification signed by the hazardous
secondary material generator which states: "I certify under penalty of law that
I have personally examined and am familiar with the information submitted in
this and all attached documents, and that based on my inquiry of those
individuals immediately responsible for obtaining the information, I believe
that the submitted information is true, accurate, and complete. I am aware that
there are significant penalties for submitting false information including the
possibility of fine and imprisonment."
(xii) All persons claiming an exclusion under
this paragraph (a)(25) must provide notification as required by section
260.42.
(26)
Solvent-contaminated wipes that are sent for cleaning and reuse are not solid
wastes from the point of generation, provided that:
(i) The solvent-contaminated wipes, when
accumulated, stored, and transported, are contained in non-leaking, closed
containers that are labled "Excluded Solvent-Contaminated Wipes." The
containers must be able to contain free liquids, should free liquids occur.
During accumulation, a container is considered closed when there is complete
contact between the fitted lid and the rim, except when it is necessary to add
or remove solvent-contaminated wipes. When the container is full, or when the
solvent-contaminated wipes are no longer being accumulated, or when the
container is being transported, the container must be sealed with all lids
properly and securely affixed to the container and all openings tightly bound
or closed sufficiently to prevent leaks and emissions;
(ii) The solvent-contaminated wipes may be
accumulated by the generator for up to 180 days from the start date of
accumulation for each container prior to being sent for cleaning;
(iii) At the point of being sent for cleaning
on-site or at the point of being transported off-site for cleaning, the
solvent-contaminated wipes must contain no free liquids as defined in section
260.10 of this chapter.
(iv) Free
liquids removed from the solvent-contaminated wipes or from the container
holding the wipes must be managed according to the applicable regulations found
in parts 260 through 273:
(v)
Generators must maintain at their site the following documentation:
(A) Name and address of the laundry or dry
cleaner that is receiving the solvent-contaminated wipes;
(B) Documentation that the 180-day
accumulation time limit in 261.4(a)(26)(ii) is being met;
(C) Description of the process the generator
is using to ensure the solvent-contaminated wipes contain no free liquids at
the point of being laundered or dry cleaned on-site or at the point of being
transported off-site for laundering or dry cleaning;
(vi) The solvent-contaminated wipes are sent
to a laundry or dry cleaner whose discharge, if any, is regulated under section
s 301 and 402 or section 307 of the Clean Water Act.
(27) Hazardous secondary material that is
generated and then transferred to another person for the purpose of
remanufacturing is not a solid waste, provided that:
(i) The hazardous secondary material consists
of one (1) or more of the following spent solvents: Toluene, xylenes,
ethylbenzene, 1,2,4-trimethylbenzene, chlorobenzene, n-hexane, cyclohexane,
methyl tert-butyl ether, acetonitrile, chloroform, chloromethane,
dichloromethane, methyl isobutyl ketone, NN-dimethylformamide, tetrahydrofuran,
n-butyl alcohol, ethanol, and/or methanol;
(ii) The hazardous secondary material
originated from using one (1) or more of the solvents listed in paragraph
(a)(27)(i) of this section in a commercial grade for reacting, extracting,
purifying, or blending chemicals (or for rinsing out the process lines
associated with these functions) in the pharmaceutical manufacturing (NAICS
325412), basic organic chemical manufacturing (NAICS 325199), plastics and
resins manufacturing (NAICS 325211), and/or the paints and coatings
manufacturing sectors (NAICS 325510).
(iii) The hazardous secondary material
generator sends the hazardous secondary material spent solvents listed in
paragraph (a)(27)(i) of this section to a remanufacturer in the pharmaceutical
manufacturing (NAICS 325412), basic organic chemical manufacturing (NAICS
325199), plastics and resins manufacturing (NAICS 325211), and/or the paints
and coatings manufacturing sectors (NAICS 325510).
(iv) After remanufacturing one (1) or more of
the solvents listed in paragraph (a)(27)(i) of this section , the use of the
remanufactured solvent shall be limited to reacting, extracting, purifying, or
blending chemicals (or for rinsing out the process lines associated with these
functions) in the pharmaceutical manufacturing (NAICS 325412), basic organic
chemical manufacturing (NAICS 325199), plastics and resins manufacturing (NAICS
325211), and/or the paints and coatings manufacturing sectors (NAICS 325510) or
to using them as ingredients in a product. These allowed uses correspond to
chemical functional uses enumerated under the Chemical Data Reporting Rule of
the Toxic Substances Control Act ( 40 CFR parts 704, 710, and 711) , including
Industrial Function Codes U015 (solvents consumed in a reaction to produce
other chemicals) and U030 (solvents become part of the mixture);
(v) After remanufacturing one (1) or more of
the solvents listed in paragraph (a)(27)(i) of this section , the use of the
remanufactured solvent does not involve cleaning or degreasing oil, grease, or
similar material from textiles, glassware, metal surfaces, or other articles.
(These disallowed continuing uses correspond to chemical functional uses in
Industrial Function Code U029 under the Chemical Data Reporting Rule of the
Toxics Substances Control Act.); and
(vi) Both the hazardous secondary material
generator and the remanufacturer must:
(A)
Notify the Department and update the notification every two (2) years per
section 260.42;
(B) Develop and
maintain an up-to-date remanufacturing plan which identifies:
(1) The name, address, and EPA Identification
Number of the generator(s) and the remanufacturer(s),
(2) The types and estimated annual volumes of
spent solvents to be remanufactured,
(3) The processes and industry sectors that
generate the spent solvents,
(4)
The specific uses and industry sectors for the remanufactured solvents,
and
(5) A certification from the
remanufacturer stating "on behalf of [insert remanufacturer facility name], I
certify that this facility is a remanufacturer under pharmaceutical
manufacturing (NAICS 325412), basic organic chemical manufacturing (NAICS
325199), plastics and resins manufacturing (NAICS 325211), and/or the paints
and coatings manufacturing sectors (NAICS 325510), and will accept the spent
solvent(s) for the sole purpose of remanufacturing into commercial-grade
solvent(s) that will be used for reacting, extracting, purifying, or blending
chemicals (or for rinsing out the process lines associated with these
functions) or for use as product ingredient(s). I also certify that the
remanufacturing equipment, vents, and tanks are equipped with and are operating
air emission controls in compliance with the appropriate Clean Air Act
regulations under 40 CFR part 60, part 61, or part 63, or, absent such Clean
Air Act standards for the particular operation or piece of equipment covered by
the remanufacturing exclusion, are in compliance with the appropriate standards
in R.61-79.261 subparts AA (vents), BB (equipment), and CC (tank
storage),";
(C) Maintain
records of shipments and confirmations of receipts for a period of three (3)
years from the dates of the shipments;
(D) Prior to remanufacturing, store the
hazardous spent solvents in tanks or containers that meet technical standards
found in R.61-79.261 subparts I and J, with the tanks and containers being
labeled or otherwise having an immediately available record of the material
being stored;
(E) During
remanufacturing, and during storage of the hazardous secondary materials prior
to remanufacturing, the remanufacturer certifies that the remanufacturing
equipment, vents, and tanks are equipped with and are operating air emission
controls in compliance with the appropriate Clean Air Act regulations under 40
CFR part 60, part 61, or part 63, or, absent such Clean Air Act standards for
the particular operation or piece of equipment covered by the remanufacturing
exclusion, are in compliance with the appropriate standards in R.61-79.261
subparts AA (vents), BB (equipment), and CC (tank storage); and
(F) Meet the requirements prohibiting
speculative accumulation per section 261.1(c)(8).
(b) Solid wastes which
are not hazardous wastes. The following solid wastes are not hazardous wastes:
(1) Household waste, including household
waste that has been collected, transported, stored, treated, disposed,
recovered (e.g., refuse-derived fuel) or reused. "Household waste" means any
material (including garbage, trash and sanitary wastes in septic tanks) derived
from households (including single and multiple residences, hotels and motels,
bunkhouses, ranger stations, crew quarters, campgrounds, picnic grounds and day
use recreation areas). A resource recovery facility managing municipal solid
waste shall not be deemed to be treating, storing, disposing of, or otherwise
managing hazardous wastes for the purposes of these regulations, if such
facility:
(i) Receives and burns only
(A) Household waste (from single and multiple
dwellings, hotels, motels, and other residential sources) and
(B) Solid waste from commercial or industrial
sources that does not contain hazardous waste; and
(ii) Such facility does not accept hazardous
wastes and the owner or operator of such facility has established contractual
requirements or other appropriate notification or inspection procedures to
assure that hazardous wastes are not received at or burned in such
facility.
(2) Solid
wastes generated by any of the following and which are returned to the soils as
fertilizers:
(i) The growing and harvesting
of agricultural crops.
(ii) The
raising of animals, including animal manures.
(3) Mining overburden returned to the mine
site if such overburden is handled in compliance with all applicable provisions
of the S. C. Mining Act, section
48-20-10
et seq., S. C. Code of Laws, 1976, as amended.
(4) Fly ash waste, bottom ash waste, slag
waste, and flue gas emission control waste generated primarily from the
combustion of coal or other fossil fuels, except as provided by 266.112 for
facilities that burn or process hazardous waste (revised 12/92).
(5) Drilling fluids, produced waters, and
other wastes associated with the exploration, development, or production of
crude oil, natural gas or geothermal energy.
(6)
(i)
Wastes which fail the test for the Toxicity Characteristic because chromium is
present or are listed in Subpart D due to the presence of chromium, which do
not fail the test for the Toxicity Characteristic for any other constituent or
are not listed due to the presence of any other constituent, and which do not
fail the test for any other characteristic, if it is shown by a waste generator
or by waste generators that:
(A) The chromium
in the waste is exclusively (or nearly exclusively) trivalent chromium;
and
(B) The waste is generated from
an industrial process which uses trivalent chromium exclusively (or nearly
exclusively) and the process does not generate hexavalent chromium;
and
(C) The waste is typically and
frequently managed in non-oxidizing environments.
(ii) Specific wastes which meet the standard
in paragraphs (b)(6)(i) (A), (B), and (C) (so long as they do not fail the test
for the toxicity characteristic for any other constituent, and do not exhibit
any other characteristic) are: (amended 11/90)
(A) Chrome (blue) trimmings generated by the
following subcategories of the leather tanning and finishing industry; hair
pulp/chrome tan/retan/wet finish; hair save/chrome tan/retan/wet finish;
retan/wet finish; no beamhouse; through-the-blue; and shearling. (amended
11/90)
(B) Chrome (blue) shavings
generated by the following subcategories of the leather tanning and finishing
industry: hair pulp/ chrome tan/retan/wet finish; hair save/chrome
tan/retan/wet finish; retan/wet finish; no beamhouse; through-the-blue; and
shearling.
(C) Buffing dust
generated by the following subcategories of the leather tanning and finishing
industry: hair/pulp/chrome tan/retan/wet finish; hair save/chrome tan retan/wet
finish; retan/wet finish; no beamhouse; through-the-blue.
(D) Sewer screenings generated by the
following subcategories of the leather tanning and finishing industry: hair
pulp/chrome tan/retan/wet finish; hair save/chrome tan/retan/wet finish;
retan/wet finish; no beamhouse; through-the-blue; and shearling.
(E) Wastewater treatment sludges generated by
the following subcategories of the leather tanning and finishing industry: hair
pulp/chrome tan/retan/wet finish; hair save/chrome tan/retan/wet finish;
retan/wet finish; no beamhouse; through-the-blue; and shearling.
(F) Wastewater treatment sludges generated by
the following subcategories of the leather tanning and finishing industry: hair
pulp/chrome tan/retan/wet finish; hair save/chrome tan/retan/wet finish; and
through-the-blue.
(G) Waste scrap
leather from the leather tanning industry, the shoe manufacturing industry, and
other leather product manufacturing industries.
(H) Wastewater treatment sludges from the
production of TiO2 pigment using chromium-bearing ores
by the chloride process.
(7) Solid waste from the extraction,
beneficiation, and processing of ores and minerals (including coal, phosphate
rock and overburden from the mining of uranium ore), except as provided by
266.112 for facilities that burn or process hazardous waste. For purposes of
261.4(b)(7), beneficiation of ores and minerals is restricted to the following
activities: Crushing; grinding; washing; dissolution; crystallization;
filtration; sorting; sizing; drying; sintering; pelletizing; briquetting;
calcining to remove water and/or carbon dioxide; roasting, autoclaving, and/or
chlorination in preparation for leaching (except where the roasting (and/or
autoclaving and/or chlorination)/leaching sequence produces a final or
intermediate product that does not undergo further beneficiation or
processing); gravity concentration; magnetic separation; electrostatic
separation; flotation; ion exchange; solvent extraction; electrowinning;
precipitation; amalgamation; and heap, dump, vat, tank, and in situ leaching.
For the purposes of 261.4(b)(7), solid waste from the processing of ores and
minerals includes only the following wastes:
(i) For the purposes of 261.4(b)(7),
beneficiation of ores and minerals is restricted to the following activities;
crushing; grinding; washing; dissolution; crystallization; filtration; sorting;
sizing; drying; sintering; pelletizing; briquetting; calcining to remove water
and/or carbon dioxide; roasting, autoclaving, and/or chlorination in
preparation for leaching (except where the roasting (and/or autoclaving and/or
chlorination)/leaching sequence produces a final or intermediate product that
does not undergo further beneficiation or processing); gravity concentration;
magnetic separation; electrostatic separation; flotation; ion exchange; solvent
extraction; electrowinning; precipitation; amalgamation; and heap, dump, vat,
tank, and in situ leaching. (12/92)
(ii) For the purposes of 261.4(b)(7), solid
waste from the processing of ores and minerals includes only the following
wastes as generated:
(A) Slag from primary
copper processing;
(B) Slag from
primary lead processing;
(C) Red
and brown muds from bauxite refining;
(D) Phophogypsum from phosphoric acid
production;
(E) Slag from elemental
phosphorus production;
(F) Gasifier
ash from coal gasification;
(G)
Process wastewater from coal gasification;
(H) Calcium sulfate wastewater treatment
plant sludge from primary copper processing;
(I) Slag tailings from primary copper
processing;
(J) Fluorogypsum from
hydrofluoric acid production;
(K)
Process wastewater from hydrofluoric acid production;
(L) Air pollution control dust/sludge from
iron blast furnaces;
(M) Iron blast
furnace slag;
(N) Treated residue
from roasting/leaching of chrome ore;
(O) Process wastewater from primary magnesium
processing by the anhydrous process;
(P) Process wastewater from phosphoric acid
production;
(Q) Basic oxygen
furnace and open hearth furnace air pollution control dust/sludge from carbon
steel production;
(R) Basic oxygen
furnace and open hearth furnace slag from carbon steel production;
(S) Chloride process waste solids from
titanium tetrachloride production;
(T) Slag from primary zinc
processing.
(iii) A
residue derived from co-processing mineral processing secondary materials with
normal beneficiation raw materials or with normal mineral processing raw
materials remains excluded under paragraph (b) of this section if the owner or
operator: (11/99)
(A) Processes at least 50
percent by weight normal beneficiation raw materials or normal mineral
processing raw materials; and,
(B)
Legitimately reclaims the secondary mineral processing materials.
(8) Cement kiln dust
waste, except as provided by 266.112 for facilities that burn or process
hazardous waste (revised 12/92).
(9) Solid waste which consists of discarded
arsenical-treated wood or wood products which fails the test for the Toxicity
Characteristic for Hazardous Waste Codes D004 through D017 and which is not a
hazardous waste for any other reason, if the waste is generated by persons who
utilize the arsenical-treated wood and wood product for these materials'
intended end use. (amended 11/90; 12/92)
(10) Petroleum-contaminated media and debris
that fail the test for the Toxicity Characteristic of section 261.24 [Hazardous
Waste Codes D016 through D043 only] and are subject to the corrective action
requirements of 40 CFR 280.
(11)
[Blank]
(12) Used
chlorofluorocarbon refrigerants from totally enclosed heat transfer equipment,
including mobile air conditioning systems, mobile refrigeration, and commercial
and industrial air conditioning and refrigeration systems that use
chlorofluorocarbons as the heat transfer fluid in a refrigeration cycle,
provided the refrigerant is reclaimed for further use.
(13) Non-terne plated used oil filters that
are not mixed with wastes listed in Subpart D of this part if these oil filters
have been gravity hot-drained using one of the following methods:
(i) Puncturing the filter anti-drain back
valve or the filter dome end and hot-draining;
(ii) Hot-draining and crushing;
(iii) Dismantling and hot-draining;
or
(iv) Any other equivalent
hot-draining method that will remove used oil.
(14) Used oil re-refining distillation
bottoms that are used as feedstock to manufacture asphalt products.
(15) Leachate or gas condensate collected
from landfills where certain solid wastes have been disposed, provided that:
(8/00, 6/03)
(i) The solid wastes disposed
would meet one or more of the listing descriptions for Hazardous Waste Codes
K169, K170, K171, K172, K174, K175, K176, K177, K178, and K181, if these wastes
had been generated after the effective date of the listing; (6/03)
(ii) The solid wastes described in paragraph
(b)(15)(i) of this section were disposed prior to the effective date of the
listing;
(iii) The leachate or gas
condensate do not exhibit any characteristic of hazardous waste nor are derived
from any other listed hazardous waste;
(iv) Discharge of the leachate or gas
condensate, including leachate or gas condensate transferred from the landfill
to a POTW by truck, rail, or dedicated pipe, is subject to regulation under
section s 307(b)(b) or 402 of the Clean Water Act.
(v) As of February 13, 2001, leachate or gas
condensate derived from K169-K172 is no longer exempt if it is stored or
managed in a surface impoundment prior to discharge. As of November 21, 2003,
leachate or gas condensate derived from K176, K177, and K178 is no longer
exempt if it is stored or managed in a surface impoundment prior to discharge.
After February 26, 2007, leachate or gas condensate derived from K181 will no
longer be exempt if it is stored or managed in a surface impoundment prior to
discharge. There is one exception: if the surface impoundment is used to
temporarily store leachate or gas condensate in response to an emergency
situation (e.g., shutdown of wastewater treatment system), provided the
impoundment has a double liner, and provided the leachate or gas condensate is
removed from the impoundment and continues to be managed in compliance with the
conditions of this paragraph after the emergency ends. (6/03)
(16) [Reserved]
(17) [Reserved]
(18) Solvent-contaminated wipes, except for
wipes that are hazardous waste due to the presence of trichloroethylene, that
are sent for disposal are not hazardous wastes from the point of generation
provided that:
(i) The solvent-contaminated
wipes, when accumulated, stored, and transported, are contained in non-leaking,
closed containers that are labled "Excluded Solvent-Contaminated Wipes." The
containers must be able to contain free liquids, should free liquids occur.
During accumulation, a container is considered closed when there is complete
contact between the fitted lid and the rim, except when it is necessary to add
or remove solvent-contaminated wipes. When the container is full, or when the
solvent-contaminated wipes are no longer being accumulated, or when the
container is being transported, the container must be sealed with all lids
properly and securely affixed to the container and all openings tightly bound
or closed sufficiently to prevent leaks and emissions;
(ii) The solvent-contaminated wipes may be
accumulated by the generator for up to 180 days from the start date of
accumulation for each container prior to being sent for disposal;
(iii) At the point of being transported for
disposal, the solvent-contaminated wipes must contain no free liquids as
defined in section 260.10 of this chapter.
(iv) Free liquids removed from the
solvent-contaminated wipes or from the container holding the wipes must be
managed according to the applicable regulations found in parts 260 through
273;
(v) Generators must maintain
at their site the following documentation:
(A) Name and address of the landfill or
combustor that is receiving the solvent-contaminated wipes;
(B) Documentation that the 180 day
accumulation time limit in 261.4(b)(18)(ii) is being met;
(C) Description of the process the generator
is using to ensure solvent-contaminated wipes contain no free liquids at the
point of being transported for disposal;
(vi) The solvent-contaminated wipes are sent
for disposal:
(A) To a municipal solid waste
landfill regulated under part 258, including 258.40, or to a hazardous waste
landfill regulated under parts 264 or 265; or
(B) To a municipal waste combustor or other
combustion facility regulated under section 129 of the Clean Air Act or to a
hazardous waste combustor, boiler, or industrial furnace regulated under parts
264, 265, or 266 subpart H.
(e)
Treatability Study Samples.
(1) Except as
provided in paragraph (e)(2) and (4) of this section , persons who generate or
collect samples for the purpose of conducting treatability studies as defined
in R.61-79.260.10, are not subject to any requirement of R.61-79.261 through
263 or to the notification requirements of SC Hazardous Waste Management Act
44-56-120 and section 3010 of RCRA, nor are such samples included in the
quantity determinations of R.61-79.262.13 when:
(i) The sample is being collected and
prepared for transportation by the generator or sample collector; or
(ii) The sample is being accumulated or
stored by the generator or sample collector prior to transportation to a
laboratory or testing facility; or
(iii) The sample is being transported to the
laboratory or testing facility for the purpose of conducting a treatability
study.
(2) The exemption
in paragraph (e)(1) is applicable to samples of hazardous waste being collected
and shipped for the purpose of conducting treatability studies provided that:
(i) The generator or sample collector uses
(in "treatability studies") no more than 10,000 kg of media contaminated with
non-acute hazardous waste, 1000 kg of non-acute hazardous waste other than
contaminated media, 1 kg of acute hazardous waste, 2500 kg of media
contaminated with acute hazardous waste for each process being evaluated for
each generated waste stream; and
(ii) The mass of each sample shipment does
not exceed 10,000 kg; the 10,000 kg quantity may be all media contaminated with
non-acute hazardous waste, or may include 2500 kg of media contaminated with
acute hazardous waste, 1000 kg of hazardous waste, and 1 kg of acute hazardous
waste; and
(iii) The sample must be
packaged so that it will not leak, spill, or vaporize from its packaging during
shipment and the requirements of paragraph A or B of this subparagraph are met.
(A) The transportation of each sample
shipment complies with U.S. Department of Transportation (DOT), U.S. Postal
Service (USPS), South Carolina Public Service Commission or any other
applicable shipping requirements; or
(B) If the DOT, USPS, South Carolina Public
Service Commission or other shipping requirements do not apply to the shipment
of the sample, the following information must accompany the sample:
(1) The name, mailing address, and telephone
number of the originator of the sample;
(2) The name, address, and telephone number
of the facility that will perform the treatability study;
(3) The quantity of the sample;
(4) The date of shipment; and
(5) A description of the sample, including
its EPA Hazardous Waste Number.
(iv) The sample is shipped to a laboratory or
testing facility which is exempt under 261.4(f) or has an appropriate RCRA
permit or interim status.
(v) The
generator or sample collector maintains the following records for a period
ending 3 years after completion of the treatability study:
(A) Copies of the shipping
documents;
(B) A copy of the
contract with the facility conducting the treatability study;
(C) Documentation showing:
(1) The amount of waste shipped under this
exemption;
(2) The name, address,
and EPA identification number of the laboratory or testing facility that
received the waste;
(3) The date
the shipment was made; and
(4)
Whether or not unused samples and residues were returned to the
generator.
(vi) The generator reports the information
required under paragraph (e)(2)(v)(C) of this section in its annual
report.
(3) The
Department may grant requests on a case-by-case basis for up to an additional
two years for treatability studies involving bioremediation. The Department may
grant requests on a case-by-case basis for quantity limits in excess of those
specified in paragraphs (e)(2)(i) and (ii) and (f)(4) of this section , for up
to an additional 5000 kg of media contaminated with non-acute hazardous waste,
500 kg of non-acute hazardous waste, 2500 kg of media contaminated with acute
hazardous waste and 1 kg of acute hazardous waste;
(i) In response to requests for authorization
to ship, store and conduct treatability studies on additional quantities in
advance of commencing treatability studies. Factors to be considered in
reviewing such requests include the nature of the technology, the type of
process (e.g., batch versus continuous), size of the unit undergoing testing
(particularly in relation to scale-up considerations), the time/quantity of
material required to reach steady state operating conditions, or test design
considerations such as mass balance calculations.
(ii) In response to requests for
authorization to ship, store and conduct treatability studies on additional
quantities after initiation or completion of initial treatability studies,
when: There has been an equipment or mechanical failure during the conduct of a
treatability study; there is a need to verify the results of a previously
conducted treatability study; there is a need to study and analyze alternative
techniques within a previously evaluated treatment process; or there is a need
to do further evaluation of an ongoing treatability study to determine final
specifications for treatment.
(iii)
The additional quantities and time frames allowed in paragraph (e)(3) (i) and
(ii) of this section are subject to all the provisions in paragraphs (e)(1) and
(e)(2)(iii) through (vi) of this section . The generator or sample collector
must apply to the Department and provide in writing the following information:
(A) The reason why the generator or sample
collector requires additional time or quantity of sample for treatability study
evaluation and the additional time or quantity needed;
(B) Documentation accounting for all samples
of hazardous waste from the waste stream which have been sent for or undergone
treatability studies including the date each previous sample from the waste
stream was shipped, the quantity of each previous shipment, the laboratory or
testing facility to which it was shipped, what treatability study processes
were conducted on each sample shipped, and the available results on each
treatability study;
(C) A
description of the technical modifications or change in specifications which
will be evaluated and the expected results;
(D) If such further study is being required
due to equipment or mechanical failure, the applicant must include information
regarding the reason for failure or breakdown and also include what procedures
or equipment improvements have been made to protect against further breakdowns;
and
(E) Such other information that
the Department considers necessary.
(4) In order to qualify for the exemption in
R.61-79.261.4(e)(1)(i), the mass of a sample that will be exported to a foreign
laboratory or testing facility, or that will be imported to a U.S. laboratory
or testing facility from a foreign source must additionally not exceed
twenty-five (25) kilograms.
(f) Samples Undergoing Treatability Studies
at Laboratories and Testing Facilities. Samples undergoing treatability studies
and the laboratory or testing facility conducting such treatability studies (to
the extent such facilities are not otherwise subject to RCRA requirements) are
not subject to any requirement of this part, part 124, parts 262 through 266,
268, and 270, or to the notification requirements SCHWMA 44-56-120 and section
3010 of RCRA provided that the conditions of paragraphs (f) (1) through (11) of
this section are met. A mobile treatment unit (MTU) may qualify as a testing
facility subject to paragraphs (f) (1) through (11) of this section . Where a
group of MTUs are located at the same site, the limitations specified in (f)
(1) through (11) of this section apply to the entire group of MTUs collectively
as if the group were one MTU. (amended 11/90)
(1) No less than 45 days before conducting
treatability studies, the facility notifies the Department in writing that it
intends to conduct treatability studies under this paragraph.
(2) The laboratory or testing facility
conducting the treatability study has an EPA identification number.
(3) No more than a total of 10,000 kg of "as
received" media contaminated with non-acute hazardous waste, 2500 kg of media
contaminated with acute hazardous waste or 250 kg of other "as received"
hazardous waste is subject to initiation of treatment in all treatability
studies in any single day. "As received" waste refers to the waste as received
in the shipment from the generator or sample collector.
(4) The quantity of "as received" hazardous
waste stored as the facility for the purpose of evaluation in treatability
studies does not exceed 10,000 kg, the total of which can include 10,000 kg of
media contaminated with non-acute hazardous waste, 2500 kg of media
contaminated with acute hazardous waste, 1000 kg of non-acute hazardous wastes
other than contaminated media, and 1 kg of acute hazardous waste. This quantity
limitation does not include treatment materials (including nonhazardous solid
waste) added to "as received" hazardous waste.
(5) No more than 90 days have elapsed since
the treatability study for the sample was completed, or no more than one year
(two years for treatability studies involving bioremediation) have elapsed
since the generator or sample collector shipped the sample to the laboratory or
testing facility, whichever date first occurs. Up to 500 kg of treated material
from a particular waste stream from treatability studies may be archived for
future evaluation up to five years from the date of initial receipt. Quantities
of materials archived are counted against the total storage limit for the
facility.
(6) The treatability
study does not involve the placement of hazardous waste on the land or open
burning of hazardous waste.
(7) The
facility maintains records for 3 years following completion of each study that
show compliance with the treatment rate limits and the storage time and
quantity limits. The following specific information must be included for each
treatability study conducted:
(i) The name,
address, and EPA identification number of the generator or sample collector of
each waste sample;
(ii) The date
the shipment was received;
(iii)
The quantity of waste accepted;
(iv) The quantity of "as received" waste in
storage each day;
(v) The date the
treatment study was initiated and the amount of "as received" waste introduced
to treatment each day;
(vi) The
date the treatability study was concluded;
(vii) The date any unused sample or residues
generated from the treatability study were returned to the generator or sample
collector or, if sent to a designated facility, the name of the facility and
the EPA identification number.
(8) The facility keeps, onsite, a copy of the
treatability study contract and all shipping papers associated with the
transport of treatability study samples to and from the facility for a period
ending 3 years from the completion date of each treatability study.
(9) The facility prepares and submits a
report to the Department by March 15 of each year, that includes the following
information for the previous calendar year:
(i) The name, address, and EPA identification
number of the facility conducting the treatability studies;
(ii) The types (by process) of treatability
studies conducted;
(iii) The names
and addresses of persons for whom studies have been conducted (including their
EPA identification numbers);
(iv)
The total quantity of waste in storage each day;
(v) The quantity and types of waste subjected
to treatability studies;
(vi) When
each treatability study was conducted;
(vii) The final disposition of residues and
unused sample from each treatability study.
(10) The facility determines whether any
unused sample or residues generated by the treatability study are hazardous
waste under 261.3 and, if so, are subject to Parts 261 through 268, and Part
270 of this Chapter, unless the residues and unused samples are returned to the
sample originator under the 261.4(e) exemption.
(11) The facility notifies the Department by
letter when the facility is no longer planning to conduct any treatability
studies at the site.