Current through Register Vol. 48, No. 9, September 27, 2024
(a) Purpose, scope, applicability.
(1) General.
(i) The purpose of this section is to
establish minimum national standards for owners and operators of "existing"
boilers and industrial furnaces that burn hazardous waste where such standards
define the acceptable management of hazardous waste during the period of
interim status. The standards of this section apply to owners and operators of
existing facilities until either a permit is issued under 266.102(d) or until
closure responsibilities identified in this section are fulfilled.
(ii) Existing or in existence means a boiler
or industrial furnace that on or before August 21, 1991 is either in operation
burning or processing hazardous waste or for which construction (including the
ancillary facilities to burn or to process the hazardous waste) has commenced.
A facility has commenced construction if the owner or operator has obtained the
Federal, State, and local approvals or permits necessary to begin physical
construction; and either:
(A) A continuous
onsite, physical construction program has begun; or
(B) The owner or operator has entered into
contractual obligations-which cannot be canceled or modified without
substantial loss-for physical construction of the facility to be completed
within a reasonable time.
(iii) If a boiler or industrial furnace is
located at a facility that already has a permit or interim status, then the
facility must comply with the applicable regulations dealing with permit
modifications in 270.42 or changes in interim status in 270.72 of this
chapter.
(2) Exemptions.
The requirements of this section do not apply to hazardous waste and facilities
exempt under 266.100(b), or 266.108.
(3) Prohibition on burning dioxin-listed
wastes. The following hazardous waste listed for dioxin and hazardous waste
derived from any of these wastes may not be burned in a boiler or industrial
furnace operating under interim status: F020, F021, F022, F023, F026, and
F027.
(4) Applicability of part 265
standards. Owners and operators of boilers and industrial furnaces that burn
hazardous waste and are operating under interim status are subject to the
following provisions of part 265 of this chapter, except as provided otherwise
by this section:
(i) In subpart A (General),
265.4;
(ii) In subpart B (General
facility standards), 265.11 through 265.17;
(iii) In subpart C (Preparedness and
prevention), 265.31 through 265.37;
(iv) In subpart D (Contingency plan and
emergency procedures), 265.51 through 265.56;
(v) In subpart E (Manifest system,
recordkeeping, and reporting), 265.71 through 265.77, except that 265.71,
265.72, and 265.76 do not apply to owners and operators of onsite facilities
that do not receive any hazardous waste from offsite sources;
(vi) In subpart G (Closure and postclosure),
265.111 through 265.115;
(vii) In
subpart H (Financial requirements), 265.141, 265.142, 265.143, and 265.147
through 265.150, except that States and the Federal government are exempt from
the requirements of subpart H; and
(viii) Subpart BB (Air emission standards for
equipment leaks), except 265.1050(a).
(5) Special requirements for furnaces. The
following controls apply during interim status to industrial furnaces (e.g.,
kilns, cupolas) that feed hazardous waste for a purpose other than solely as an
ingredient (see paragraph (a)(5)(ii) of this section) at any location other
than the hot end where products are normally discharged or where fuels are
normally fired:
(i) Controls.
(A) The hazardous waste shall be fed at a
location where combustion gas temperatures are at least 1800 °F;
(B) The owner or operator must determine that
adequate oxygen is present in combustion gases to combust organic constituents
in the waste and retain documentation of such determination in the facility
record;
(C) For cement kiln
systems, the hazardous waste shall be fed into the kiln; and
(D) The hydrocarbon controls of 266.104(c) or
paragraph (c)(5) of this section apply upon certification of compliance under
paragraph (c) of this section irrespective of the CO level achieved during the
compliance test.
(ii)
Burning hazardous waste solely as an ingredient. A hazardous waste is burned
for a purpose other than solely as an ingredient if it meets either of these
criteria:
(A) The hazardous waste has a total
concentration of nonmetal compounds listed in part 261, appendix VIII, of this
chapter exceeding 500 ppm by weight, as-fired, and so, is considered to be
burned for destruction. The concentration of nonmetal compounds in a waste
as-generated may be reduced to the 500 ppm limit by bona fide treatment that
removes or destroys nonmetal constituents. Blending for dilution to meet the
500 ppm limit is prohibited and documentation that the waste has not been
impermissibly diluted must be retained in the facility record; or
(B) The hazardous waste has a heating value
of 5,000 Btu/lb or more, as-fired, and so, is considered to be burned as fuel.
The heating value of a waste as-generated may be reduced to below the 5,000
Btu/lb limit by bona fide treatment that removes or destroys organic
constituents. Blending to augment the heating value to meet the 5,000 Btu/lb
limit is prohibited and documentation that the waste has not been impermissibly
blended must be retained in the facility record.
(6) Restrictions on burning
hazardous waste that is not a fuel. Prior to certification of compliance under
paragraph (c) of this section, owners and operators shall not feed hazardous
waste (other than hazardous waste burned solely as an ingredient) in a boiler
or industrial furnace that has a heating value less than 5,000 Btu/lb,
as-generated, (except that the heating value of a waste as-generated may be
increased to above the 5,000 Btu/lb limit by bona fide treatment; however,
blending to augment the heating value to meet the 5,000 Btu/lb limit is
prohibited and records must be kept to document that impermissible blending has
not occurred) in a boiler or industrial furnace, except that:
(i) Hazardous waste may be burned solely as
an ingredient; or
(ii) Hazardous
waste may be burned for purposes of compliance testing (or testing prior to
compliance testing) for a total period of time not to exceed 720 hours;
or
(iii) Such waste may be burned
if the Department has documentation to show that, prior to August 21, 1991:
(A) The boiler or industrial furnace is
operating under the interim status standards for incinerators provided by
subpart O of part 265 of this chapter, or the interim status standards for
thermal treatment units provided by subpart P of part 265 of this chapter;
and
(B) The boiler or industrial
furnace met the interim status eligibility requirements under 270.70 of this
chapter for subpart O or subpart P of part 265 of this chapter; and
(C) Hazardous waste with a heating value less
than 5,000 Btu/lb was burned prior to that date; or
(iv) Such waste may be burned in a halogen
acid furnace if the waste was burned as an excluded ingredient under 261.2(e)
of this chapter prior to February 21, 1991 and documentation is kept on file
supporting this claim.
(7) Direct transfer to the burner. If
hazardous waste is directly transferred from a transport vehicle to a boiler or
industrial furnace without the use of a storage unit, the owner and operator
must comply with 266.111.
(b) Certification of precompliance-
(1) General. The owner or operator must
provide complete and accurate information specified in paragraph (b)(2) of this
section to the Department on or before August 21, 1991, and must establish
limits for the operating parameters specified in paragraph (b)(3) of this
section. Such information is termed a "certification of precompliance" and
constitutes a certification that the owner or operator has determined that,
when the facility is operated within the limits specified in paragraph (b)(3)
of this section, the owner or operator believes that, using best engineering
judgment, emissions of particulate matter, metals, and HCl and
Cl2 are not likely to exceed the limits provided by
266.105, 266.106, and 266.107. The facility may burn hazardous waste only under
the operating conditions that the owner or operator establishes under paragraph
(b)(3) of this section until the owner or operator submits a revised
certification of precompliance under paragraph (b)(8) of this section or a
certification of compliance under paragraph (c) of this section, or until a
permit is issued.
(2) Information
required. The following information must be submitted with the certification of
precompliance to support the determination that the limits established for the
operating parameters identified in paragraph (b)(3) of this section are not
likely to result in an exceedance of the allowable emission rates for
particulate matter, metals, and HCl and Cl2:
(i) General facility information:
(A) EPA facility ID number;
(B) Facility name, contact person, telephone
number, and address;
(C)
Description of boilers and industrial furnaces burning hazardous waste,
including type and capacity of device;
(D) A scaled plot plan showing the entire
facility and location of the boilers and industrial furnaces burning hazardous
waste; and
(E) A description of the
air pollution control system on each device burning hazardous waste, including
the temperature of the flue gas at the inlet to the particulate matter control
system.
(ii) Except for
facilities complying with the Tier I or Adjusted Tier I feed rate screening
limits for metals or total chlorine and chloride provided by 266.106 (b) or (e)
and 266.107 (b)(1) or (e), respectively, the estimated uncontrolled (at the
inlet to the air pollution control system) emissions of particulate matter,
each metal controlled by 266.106, and hydrogen chloride and chlorine, and the
following information to support such determinations:
(A) The feed rate (lb/hr) of ash, chlorine,
antimony, arsenic, barium, beryllium, cadmium, chromium, lead, mercury, silver,
and thallium in each feedstream (hazardous waste, other fuels, industrial
furnace feedstocks);
(B) The
estimated partitioning factor to the combustion gas for the materials
identified in paragraph (b)(2)(ii)(A) of this section and the basis for the
estimate and an estimate of the partitioning to HCl and
Cl2 of total chloride and chlorine in feed materials. To
estimate the partitioning factor, the owner or operator must use either best
engineering judgment or the procedures specified in appendix IX of this
part.
(C) For industrial furnaces
that recycle collected particulate matter (PM) back into the furnace and that
will certify compliance with the metals emissions standards under paragraph
(c)(3)(ii)(A), the estimated enrichment factor for each metal. To estimate the
enrichment factor, the owner or operator must use either best engineering
judgment or the procedures specified in "Alternative Methodology for
Implementing Metals Controls" in appendix IX of this part.
(D) If best engineering judgment is used to
estimate partitioning factors or enrichment factors under paragraphs
(b)(2)(ii)(B) or (b)(2)(ii)(C) respectively, the basis for the judgment. When
best engineering judgment is used to develop or evaluate data or information
and make determinations under this section, the determinations must be made by
a qualified, registered professional engineer and a certification of his/her
determinations in accordance with 270.11(d) of this chapter must be provided in
the certification of precompliance.
(iii) For facilities complying with the Tier
I or Adjusted Tier I feed rate screening limits for metals or total chlorine
and chloride provided by 266.106 (b) or (e) and 266.107 (b)(1) or (e), the feed
rate (lb/hr) of total chloride and chlorine, antimony, arsenic, barium,
beryllium, cadmium, chromium, lead, mercury, silver, and thallium in each
feedstream (hazardous waste, other fuels, industrial furnace
feedstocks).
(iv) For facilities
complying with the Tier II or Tier III emission limits for metals or HCl and
Cl2 (under 266.106 (c) or (d) or 266.107(b)(2) or (c)),
the estimated controlled (outlet of the air pollution control system) emissions
rates of particulate matter, each metal controlled by 266.106, and HCl and
Cl2, and the following information to support such
determinations:
(A) The estimated air
pollution control system (APCS) removal efficiency for particulate matter, HCl,
Cl2, antimony, arsenic, barium, beryllium, cadmium,
chromium, lead, mercury, silver, and thallium.
(B) To estimate APCS removal efficiency, the
owner or operator must use either best engineering judgment or the procedures
prescribed in appendix IX of this part.
(C) If best engineering judgment is used to
estimate APCS removal efficiency, the basis for the judgment. Use of best
engineering judgment must be in conformance with provisions of paragraph
(b)(2)(ii)(D) of this section.
(v) Determination of allowable emissions
rates for HCl, Cl2, antimony, arsenic, barium,
beryllium, cadmium, chromium, lead, mercury, silver, and thallium, and the
following information to support such determinations:
(A) For all facilities:
(1) Physical stack height;
(2) Good engineering practice stack height as
defined by
40
CFR 51.100(ii);
(3) Maximum flue gas flow rate;
(4) Maximum flue gas temperature;
(5) Attach a US Geological Service
topographic map (or equivalent) showing the facility location and surrounding
land within 5 km of the facility;
(6) Identify terrain type: complex or
noncomplex; and
(7) Identify land
use: urban or rural.
(B)
For owners and operators using Tier III site specific dispersion modeling to
determine allowable levels under 266.106(d) or 266.107(c), or adjusted Tier I
feed rate screening limits under 266.106(e) or 266.107(e):
(1) Dispersion model and version
used;
(2) Source of meteorological
data;
(3) The dilution factor in
micrograms per cubic meter per gram per second of emissions for the maximum
annual average offsite (unless onsite is required) ground level concentration
(MEI location); and
(4) Indicate
the MEI location on the map required under paragraph (b)(2)(v)(A)(5);
(vi) For facilities
complying with the Tier II or III emissions rate controls for metals or HCl and
Cl2, a comparison of the estimated controlled emissions
rates determined under paragraph (b)(2)(iv) with the allowable emission rates
determined under paragraph (b)(2)(v);
(vii) For facilities complying with the Tier
I (or adjusted Tier I) feed rate screening limits for metals or total chloride
and chlorine, a comparison of actual feed rates of each metal and total
chlorine and chloride determined under paragraph (b)(2)(iii) of this section to
the Tier I allowable feed rates; and
(viii) For industrial furnaces that feed
hazardous waste for any purpose other than solely as an ingredient (as defined
by paragraph (a)(5)(ii) of this section) at any location other than the product
discharge end of the device, documentation of compliance with the requirements
of paragraphs (a)(5)(i) (A), (B), and (C) of this section.
(ix) For industrial furnaces that recycle
collected particulate matter (PM) back into the furnace and that will certify
compliance with the metals emissions standards under paragraph (c)(3)(ii) (A)
of this section:
(A) The applicable
particulate matter standard in lb/hr; and
(B) The precompliance limit on the
concentration of each metal in collected PM.
(3) Limits on operating conditions. The owner
and operator shall establish limits on the following parameters consistent with
the determinations made under paragraph (b)(2) of this section and certify
(under provisions of paragraph (b)(9) of this section) to the Department that
the facility will operate within the limits during interim status when there is
hazardous waste in the unit until revised certification of precompliance under
paragraph (b)(8) of this section or certification of compliance under paragraph
(c) of this section:
(i) Feed rate of total
hazardous waste and (unless complying with the Tier I or adjusted Tier I metals
feed rate screening limits under 266.106(b) or (e)) pumpable hazardous
waste;
(ii) Feed rate of each metal
in the following feed streams:
(A) Total feed
streams, except that industrial furnaces that comply with the alternative
metals implementation approach under paragraph (b)(4) of this section must
specify limits on the concentration of each metal in collected particulate
matter in lieu of feed rate limits for total feedstreams;
(B) Total hazardous waste feed, unless
complying with the Tier I or Adjusted Tier I metals feed rate screening limits
under 266.106 (b) or (e); and
(C)
Total pumpable hazardous waste feed, unless complying with the Tier I or
adjusted Tier I metals feed rate screening limits under 266.106 (b) or
(e);
(iii) Total feed
rate of chlorine and chloride in total feed streams;
(iv) Total feed rate of ash in total feed
streams, except that the ash feed rate for cement kilns and light weight
aggregate kilns is not limited; and
(v) Maximum production rate of the device in
appropriate units when producing normal product, unless complying with the Tier
I or Adjusted Tier I feed rate screening limits for chlorine under
section266.107 (b)(1) or (e) and for all metals under section266.106 (b) or
(e), and the uncontrolled particulate emissions do not exceed the standard
under section266.105.
(4) Operating requirements for furnaces that
recycle PM. Owners and operators of furnaces that recycle collected particulate
matter (PM) back into the furnace and that will certify compliance with the
metals emissions controls under paragraph (c)(3)(ii)(A) of this section must
comply with the special operating requirements provided in "Alternative
Methodology for Implementing Metals Controls" in appendix IX of this
part.
(5) Measurement of feed rates
and production rate-
(i) General requirements.
Limits on each of the parameters specified in paragraph (b)(3) of this section
(except for limits on metals concentrations in collected particulate matter
(PM) for industrial furnaces that recycle collected PM) shall be established
and continuously monitored under either of the following methods:
(A) Instantaneous limits. A limit for a
parameter may be established and continuously monitored and recorded on an
instantaneous basis (i.e., the value that occurs at any time) not to be
exceeded at any time; or
(B) Hourly
rolling average limits. A limit for a parameter may be established and
continuously monitored on an hourly rolling average basis defined as follows:
(1) A continuous monitor is one which
continuously samples the regulated parameter without interruption, and
evaluates the detector response at least once each 15 seconds, and computes and
records the average value at least every 60 seconds.
(2) An hourly rolling average is the
arithmetic mean of the 60 most recent 1-minute average values recorded by the
continuous monitoring system.
(ii) Rolling average limits for carcinogenic
metals and lead. Feed rate limits for the carcinogenic metals (arsenic,
beryllium, cadmium, and chromium) and lead may be established either on an
hourly rolling average basis as prescribed by paragraph (b)(5)(i)(B) or on (up
to) a 24 hour rolling average basis. If the owner or operator elects to use an
averaging period from 2 to 24 hours:
(A) The
feed rate of each metal shall be limited at any time to ten times the feed rate
that would be allowed on an hourly rolling average basis;
(B) The continuous monitor shall meet the
following specifications:
(1) A continuous
monitor is one which continuously samples the regulated parameter without
interruption, and evaluates the detector response at least once each 15
seconds, and computes and records the average value at least every 60
seconds.
(2) The rolling average
for the selected averaging period is defined as the arithmetic mean of one hour
block averages for the averaging period. A one hour block average is the
arithmetic mean of the one minute averages recorded during the 60-minute period
beginning at one minute after the beginning of the preceding clock
hour.
(iii)
Feed rate limits for metals, total chloride and chlorine, and ash. Feed rate
limits for metals, total chlorine and chloride, and ash are established and
monitored by knowing the concentration of the substance (i.e., metals,
chloride/chlorine, and ash) in each feedstream and the flow rate of the
feedstream. To monitor the feed rate of these substances, the flow rate of each
feedstream must be monitored under the continuous monitoring requirements of
paragraphs (b)(5) (i) and (ii) of this section.
(6) Public notice requirements at
precompliance. On or before August 21, 1991 the owner or operator must submit a
notice with the following information for publication in a major local
newspaper of general circulation and send a copy of the notice to the
appropriate units of State and local government. The owner and operator must
provide to the Department with the certification of precompliance evidence of
submitting the notice for publication. The notice, which shall be entitled
"Notice of Certification of Precompliance with Hazardous Waste Burning
Requirements of 266.103(b)", must include:
(i)
Name and address of the owner and operator of the facility as well as the
location of the device burning hazardous waste;
(ii) Date that the certification of
precompliance is submitted to the Department;
(iii) Brief description of the regulatory
process required to comply with the interim status requirements of this section
including required emissions testing to demonstrate conformance with emissions
standards for organic compounds, particulate matter, metals, and HCl and
Cl2;
(iv)
Types and quantities of hazardous waste burned including, but not limited to,
source, whether solids or liquids, as well as an appropriate description of the
waste;
(v) Type of device(s) in
which the hazardous waste is burned including a physical description and
maximum production rate of each device;
(vi) Types and quantities of other fuels and
industrial furnace feedstocks fed to each unit;
(vii) Brief description of the basis for this
certification of precompliance as specified in paragraph (b)(2) of this
section;
(viii) Locations where the
operating record for the facility can be viewed and copied by interested
parties. These records and locations shall at a minimum include:
(A) The administrative record kept by the
Department office where the supporting documentation was submitted or another
location designated by the Department; and
(B) The BIF correspondence file kept at the
facility site where the device is located. The correspondence file must include
all correspondence between the facility and the Director, state and local
regulatory officials, including copies of all certifications and notifications,
such as the precompliance certification, precompliance public notice, notice of
compliance testing, compliance test report, compliance certification, time
extension requests and approvals or denials, enforcement notifications of
violations, and copies of EPA and State site visit reports submitted to the
owner or operator.
(ix)
Notification of the establishment of a facility mailing list whereby interested
parties shall notify the Department that they wish to be placed on the mailing
list to receive future information and notices about this facility;
and
(x) Location (mailing address
of the applicable office where further information can be obtained on
regulation of hazardous waste burning.
(7) Monitoring other operating parameters.
When the monitoring systems for the operating parameters listed in paragraphs
(c)(1)(v through xiii) of this section are installed and operating in
conformance with vendor specifications or (for CO, HC, and oxygen)
specifications provided by appendix IX of this part, as appropriate, the
parameters shall be continuously monitored and records shall be maintained in
the operating record.
(8) Revised
certification of precompliance. The owner or operator may revise at any time
the information and operating conditions documented under paragraphs (b)(2) and
(b)(3) of this section in the certification of precompliance by submitting a
revised certification of precompliance under procedures provided by those
paragraphs.
(i) The public notice requirements
of paragraph (b)(6) of this section do not apply to recertifications.
(ii) The owner and operator must operate the
facility within the limits established for the operating parameters under
paragraph (b)(3) of this section until a revised certification is submitted
under this paragraph or a certification of compliance is submitted under
paragraph (c) of this section.
(9) Certification of precompliance statement.
The owner or operator must include the following signed statement with the
certification of precompliance submitted to the Department:
"I certify under penalty of law that this information was
prepared under my direction or supervision in accordance with a system designed
to ensure that qualified personnel properly gathered and evaluated the
information and supporting documentation. Copies of all emissions tests,
dispersion modeling results and other information used to determine conformance
with the requirements of 266.103(b) are available at the facility and can be
obtained from the facility contact person listed above. Based on my inquiry of
the person or persons who manages the facility, or those persons directly
responsible for gathering the information, the information submitted is, to the
best of my knowledge and belief, true, accurate, and complete. I am aware that
there are significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violations.
I also acknowledge that the operating limits established in
this certification pursuant to 266.103(b) (3) and (4) are enforceable limits at
which the facility can legally operate during interim status until: (1) A
revised certification of precompliance is submitted, (2) a certification of
compliance is submitted, or (3) an operating permit is issued."
(c) Certification of
compliance. The owner or operator shall conduct emissions testing to document
compliance with the emissions standards of 266.104 (b) through (e), 266.105,
266.106, 266.107, and paragraph (a)(5)(i)(D) of this section, under the
procedures prescribed by this paragraph, except under extensions of time
provided by paragraph (c)(7). Based on the compliance test, the owner or
operator shall submit to the Department on or before August 21, 1992 a complete
and accurate "certification of compliance" (under paragraph (c)(4) of this
section) with those emission standards establishing limits on the operating
parameters specified in paragraph (c)(1).
(1)
Limits on operating conditions. The owner or operator shall establish limits on
the following parameters based on operations during the compliance test (under
procedures prescribed in paragraph (c)(4)(iv) of this section) or as otherwise
specified and include these limits with the certification of compliance. The
boiler or industrial furnace must be operated in accordance with these
operating limits and the applicable emissions standards of sections266.104(b)
through (e)(b) through (e),266.105, 266.106, 266.107, and 266.103(a)(5)(i)(D)
at all times when there is hazardous waste in the unit.
(i) Feed rate of total hazardous waste and
(unless complying with the Tier I or adjusted Tier I metals feed rate screening
limits under 266.106(b) or (e)), pumpable hazardous waste; (revised 12/93;
5/96)
(ii) Feed rate of each metal
in the following feedstreams:
(A) Total
feedstreams, except that:
(1) Facilities that
comply with Tier I or Adjusted Tier I metals feed rate screening limits may set
their operating limits at the metals feed rate screening limits determined
under 266.106(b) or (e); and
(2)
Industrial furnaces that must comply with the alternative metals implementation
approach under paragraph (c)(3)(ii) of this section must specify limits on the
concentration of each metal in the collected particulate matter in lieu of feed
rate limits for total feedstreams;
(B) Total hazardous waste feed (unless
complying with the Tier I or Adjusted Tier I metals feed rate screening limits
under 266.106 (b) or (e)); and
(C)
Total pumpable hazardous waste feed (unless complying with the Tier I or
Adjusted Tier I metals feed rate screening limits under sections266.106(b) or
(e)(b) or (e));
(iii)
Total feed rate of chlorine and chloride in total feed streams, except that
facilities that comply with Tier I or Adjusted Tier I feed rate screening
limits may set their operating limits at the total chlorine and chloride feed
rate screening limits determined under 266.107(b)(1) or (e);
(iv) Total feed rate of ash in total feed
streams, except that the ash feed rate for cement kilns and light weight
aggregate kilns is not limited;
(v)
Carbon monoxide concentration, and where required, hydrocarbon concentration in
stack gas. When complying with the CO controls of 266.104(b), the CO limit is
100 ppmv, and when complying with the HC controls of 266.104(c), the HC limit
is 20 ppmv. When complying with the CO controls of 266.104(c), the CO limit is
established based on the compliance test;
(vi) Maximum production rate of the device in
appropriate units when producing normal product, unless complying with the Tier
I or Adjusted Tier I feed rate screening limits for chlorine under
section266.107(b)(1) or (e)(b)(1) or (e) and for all metals under
section266.106(b) or (e)(b) or (e), and the uncontrolled particulate emissions
do not exceed the standard under section266.105;
(vii) Maximum combustion chamber temperature
where the temperature measurement is as close to the combustion zone as
possible and is upstream of any quench water injection (unless complying with
the Tier I or Adjusted Tier I metals feed rate screening limits under
266.106(b) or (e));
(viii) Maximum
flue gas temperature entering a particulate matter control device (unless
complying with Tier I or Adjusted Tier I metals feed rate screening limits
under 266.106(b) or (e) and the total chlorine and chloride feed rate screening
limits under 266.107(b) or (e)):
(ix) For systems using wet scrubbers,
including wet ionizing scrubbers (unless complying with the Tier I or Adjusted
Tier I metals feed rate screening limits under 266.106(b) or (e) and the total
chlorine and chloride feed rate screening limits under 266.107(b)(1) or (e))
(Note: SC regs includes all of the above except needs to add "the" before "Tier
I..."):
(A) Minimum liquid to flue gas
ratio;
(B) Minimum scrubber
blowdown from the system or maximum suspended solids content of scrubber water;
and
(C) Minimum pH level of the
scrubber water;
(x) For
systems using venturi scrubbers, the minimum differential gas pressure across
the venturi (unless complying with the Tier I or Adjusted Tier I metals feed
rate screening limits under 266.106(b) or (e) and the total chlorine and
chloride feed rate screening limits under 266.107(b)(1) or (e));
(xi) For systems using dry scrubbers (unless
complying with the Tier I or Adjusted Tier I metals feed rate screening limits
under 266.106(b) or (e) and the total chlorine and chloride feed rate screening
limits under 266.107(b)(1) or (e)):
(A)
Minimum caustic feed rate; and
(B)
Maximum flue gas flow rate:
(xii) For systems using wet ionizing
scrubbers or electrostatic precipitators (unless complying with the Tier I or
Adjusted Tier I metals feed rate screening limits under 266.106(b) or (e) and
the total chlorine and chloride feed rate screening limits under 266.107(b)(1)
or (e)):
(A) Minimum electrical power in
kilovolt amperes (kVA) to the precipitator plates; and
(B) Maximum flue gas flow rate;
(xiii) For systems using fabric
filters (baghouses), the minimum pressure drop (unless complying with the Tier
I or Adjusted Tier I metal feed rate screening limits under 266.106(b) or (e)
and the total chlorine and chloride feed rate screening limits under
266.107(b)(1) or (e)).
(2) Prior notice of compliance testing. At
least 30 days prior to the compliance testing required by paragraph (c)(3) of
this section, the owner or operator shall notify the Department and submit the
following information:
(i) General facility
information including:
(A) EPA facility ID
number;
(B) Facility name, contact
person, telephone number, and address;
(C) Person responsible for conducting
compliance test, including company name, address, and telephone number, and a
statement of qualifications;
(D)
Planned date of the compliance test;
(ii) Specific information on each device to
be tested including:
(A) Description of boiler
or industrial furnace;
(B) A scaled
plot plan showing the entire facility and location of the boiler or industrial
furnace;
(C) A description of the
air pollution control system;
(D)
Identification of the continuous emission monitors that are installed,
including:
(1) Carbon monoxide
monitor;
(2) Oxygen
monitor;
(3) Hydrocarbon monitor,
specifying the minimum temperature of the system and, if the temperature is
less than 150 °C, an explanation of why a heated system is not used (see
paragraph (c)(5) of this section) and a brief description of the sample gas
conditioning system;
(E)
Indication of whether the stack is shared with another device that will be in
operation during the compliance test;
(F) Other information useful to an
understanding of the system design or operation.
(iii) Information on the testing planned,
including a complete copy of the test protocol and Quality Assurance/Quality
Control (QA/QC) plan, and a summary description for each test providing the
following information at a minimum:
(A)
Purpose of the test (e.g., demonstrate compliance with emissions of particulate
matter); and
(B) Planned operating
conditions, including levels for each pertinent parameter specified in
paragraph (c)(1) of this section.
(3) Compliance testing.-
(i) General. Compliance testing must be
conducted under conditions for which the owner or operator has submitted a
certification of precompliance under paragraph (b) of this section and under
conditions established in the notification of compliance testing required by
paragraph (c)(2) of this section. The owner or operator may seek approval on a
case-by-case basis to use compliance test data from one unit in lieu of testing
a similar onsite unit. To support the request, the owner or operator must
provide a comparison of the hazardous waste burned and other feedstreams, and
the design, operation, and maintenance of both the tested unit and the similar
unit. The Department shall provide a written approval to use compliance test
data in lieu of testing a similar unit if he finds that the hazardous wastes,
the devices, and the operating conditions are sufficiently similar, and the
data from the other compliance test is adequate to meet the requirements of
266.103(c).
(ii) Special
requirements for industrial furnaces that recycle collected PM. Owners and
operators of industrial furnaces that recycle back into the furnace particulate
matter (PM) from the air pollution control system must comply with one of the
following procedures for testing to determine compliance with the metals
standards of 266.106(c) or (d):
(A) The
special testing requirements prescribed in "Alternative Method for Implementing
Metals Controls" in appendix IX of this part; or
(B) Stack emissions testing for a minimum of
6 hours each day while hazardous waste is burned during interim status. The
testing must be conducted when burning normal hazardous waste for that day at
normal feed rates for that day and when the air pollution control system is
operated under normal conditions. During interim status, hazardous waste
analysis for metals content must be sufficient for the owner or operator to
determine if changes in metals content may affect the ability of the facility
to meet the metals emissions standards established under 266.106(c) or (d).
Under this option, operating limits (under paragraph (c)(1) of this section)
must be established during compliance testing under paragraph (c)(3) of this
section only on the following parameters:
(1)
Feed rate of total hazardous waste;
(2) Total feed rate of chlorine and chloride
in total feed streams;
(3) Total
feed rate of ash in total feed streams, except that the ash feed rate for
cement kilns and light weight aggregate kilns is not limited;
(4) Carbon monoxide concentration, and where
required, hydrocarbon concentration in stack gas;
(5) Maximum production rate of the device in
appropriate units when producing normal product; or
(C) Conduct compliance testing to determine
compliance with the metals standards to establish limits on the operating
parameters of paragraph (c)(1) of this section only after the kiln system has
been conditioned to enable it to reach equilibrium with respect to metals fed
into the system and metals emissions. During conditioning, hazardous waste and
raw materials having the same metals content as will be fed during the
compliance test must be fed at the feed rates that will be fed during the
compliance test.
(iii)
Conduct of compliance testing.
(A) If
compliance with all applicable emissions standards of 266.104 through 266.107
is not demonstrated simultaneously during a set of test runs, the operating
conditions of additional test runs required to demonstrate compliance with
remaining emissions standards must be as close as possible to the original
operating conditions.
(B) Prior to
obtaining test data for purposes of demonstrating compliance with the
applicable emissions standards of 266.104 through 266.107 or establishing
limits on operating parameters under this section, the facility must operate
under compliance test conditions for a sufficient period to reach steady-state
operations. Industrial furnaces that recycle collected particulate matter back
into the furnace and that comply with paragraphs (c)(3)(ii)(A) or (B) of this
section, however, need not reach steady state conditions with respect to the
flow of metals in the system prior to beginning compliance testing for
metals.
(C) Compliance test data on
the level of an operating parameter for which a limit must be established in
the certification of compliance must be obtained during emissions sampling for
the pollutant(s) (i.e., metals, PM, HCl/Cl2, organic
compounds) for which the parameter must be established as specified by
paragraph (c)(1) of this section.
(4) Certification of compliance. Within 90
days of completing compliance testing, the owner or operator must certify to
the Department compliance with the emissions standards of 266.104(b), (c), and
(e), 266.105, 266.106, 266.107, and paragraph (a)(5)(i)(D) of this section. The
certification of compliance must include the following information:
(i) General facility and testing information
including:
(A) EPA facility ID
number;
(B) Facility name, contact
person, telephone number, and address;
(C) Person responsible for conducting
compliance testing, including company name, address, and telephone number, and
a statement of qualifications;
(D)
Date(s) of each compliance test;
(E) Description of boiler or industrial
furnace tested;
(F) Person
responsible for quality assurance/quality control (QA/QC), title, and telephone
number, and statement that procedures prescribed in the QA/QC plan submitted
under 266.103(c)(2)(iii) have been followed, or a description of any changes
and an explanation of why changes were necessary.
(G) Description of any changes in the unit
configuration prior to or during testing that would alter any of the
information submitted in the prior notice of compliance testing under paragraph
(c)(2) of this section, and an explanation of why the changes were
necessary;
(H) Description of any
changes in the planned test conditions prior to or during the testing that
alter any of the information submitted in the prior notice of compliance
testing under paragraph (c)(2) of this section, and an explanation of why the
changes were necessary; and
(I) The
complete report on results of emissions testing.
(ii) Specific information on each test
including:
(A) Purpose(s) of test (e.g.,
demonstrate conformance with the emissions limits for particulate matter,
metals, HCl, Cl2, and CO)
(B) Summary of test results for each run and
for each test including the following information:
(1) Date of run;
(2) Duration of run;
(3) Time-weighted average and highest hourly
rolling average CO level for each run and for the test;
(4) Highest hourly rolling average HC level,
if HC monitoring is required for each run and for the test;
(5) If dioxin and furan testing is required
under 266.104(e), time-weighted average emissions for each run and for the test
of chlorinated dioxin and furan emissions, and the predicted maximum annual
average ground level concentration of the toxicity equivalency
factor;
(6) Time-weighted average
particulate matter emissions for each run and for the test;
(7) Time-weighted average HCl and
Cl2 emissions for each run and for the test;
(8) Time-weighted average emissions for the
metals subject to regulation under 266.106 for each run and for the test;
and
(9) QA/QC results.
(iii) Comparison of the
actual emissions during each test with the emissions limits prescribed by
266.104 (b), (c), and (e), 266.105, 266.106, and 266.107 and established for
the facility in the certification of precompliance under paragraph (b) of this
section.
(iv) Determination of
operating limits based on all valid runs of the compliance test for each
applicable parameter listed in paragraph (c)(1) of this section using either of
the following procedures:
(A) Instantaneous
limits. A parameter may be measured and recorded on an instantaneous basis
(i.e., the value that occurs at any time) and the operating limit specified as
the time-weighted average during all runs of the compliance test; or
(B) Hourly rolling average basis.
(1) The limit for a parameter may be
established and continuously monitored on an hourly rolling average basis
defined as follows:
(i) A continuous monitor
is one which continuously samples the regulated parameter without interruption,
and evaluates the detector response at least once each 15 seconds, and computes
and records the average value at least every 60 seconds.
(ii) An hourly rolling average is the
arithmetic mean of the 60 most recent 1-minute average values recorded by the
continuous monitoring system.
(2) The operating limit for the parameter
shall be established based on compliance test data as the average over all test
runs of the highest hourly rolling average value for each run.
(C) Rolling average limits for
carcinogenic metals and lead. Feed rate limits for the carcinogenic metals
(i.e., arsenic, beryllium, cadmium and chromium) and lead may be established
either on an hourly rolling average basis as prescribed by paragraph
(c)(4)(iv)(B) of this section or on (up to) a 24 hour rolling average basis. If
the owner or operator elects to use an averaging period from 2 to 24 hours:
(1) The feed rate of each metal shall be
limited at any time to ten times the feed rate that would be allowed on a
hourly rolling average basis;
(2)
The continuous monitor shall meet the following specifications:
(i) A continuous monitor is one which
continuously samples the regulated parameter without interruption, and
evaluates the detector response at least once each 15 seconds, and computes and
records the average value at least every 60 seconds.
(ii) The rolling average for the selected
averaging period is defined as arithmetic mean of one hour block averages for
the averaging period. A one hour block average is the arithmetic mean of the
one minute averages recorded during the 60-minute period beginning at one
minute after the beginning of preceding clock hour; and
(3) The operating limit for the feed rate of
each metal shall be established based on compliance test data as the average
over all test runs of the highest hourly rolling average feed rate for each
run.
(D) Feed rate
limits for metals, total chloride and chlorine, and ash. Feed rate limits for
metals, total chlorine and chloride, and ash are established and monitored by
knowing the concentration of the substance (i.e., metals, chloride/chlorine,
and ash) in each feedstream and the flow rate of the feedstream. To monitor the
feed rate of these substances, the flow rate of each feedstream must be
monitored under the continuous monitoring requirements of paragraphs (c)(4)(iv)
(A) through (C) of this section.
(v) Certification of compliance statement.
The following statement shall accompany the certification of compliance:
"I certify under penalty of law that this information was
prepared under my direction or supervision in accordance with a system designed
to ensure that qualified personnel properly gathered and evaluated the
information and supporting documentation. Copies of all emissions tests,
dispersion modeling results and other information used to determine conformance
with the requirements of 266.103(c) are available at the facility and can be
obtained from the facility contact person listed above. Based on my inquiry of
the person or persons who manages the facility, or those persons directly
responsible for gathering the information, the information submitted is, to the
best of my knowledge and belief, true, accurate, and complete. I am aware that
there are significant penalties for submitting false information, including the
possibility of fine and imprisonment for knowing violations.
I also acknowledge that the operating conditions
established in this certification pursuant to 266.103(c)(4)(iv) are enforceable
limits at which the facility can legally operate during interim status until a
revised certification of compliance is submitted."
(5) Special requirements for HC monitoring
systems. When an owner or operator is required to comply with the hydrocarbon
(HC) controls provided by 266.104(c) or paragraph (a)(5)(i)(D) of this section,
a conditioned gas monitoring system may be used in conformance with
specifications provided in appendix IX of this part provided that the owner or
operator submits a certification of compliance without using extensions of time
provided by paragraph (c)(7) of this section. However, owners and operators of
facilities electing to comply with the alternative hydrocarbon provision of
266.104(f) and requesting a time extension under 266.103(c)(7)(ii)(B) may
establish the baseline HC level and comply with the interim HC limit
established by the time extension using a conditioned gas monitoring system if
the Director determines that the owner or operator has demonstrated that they
have made a good faith effort to operate a heated monitoring system but found
it to be impracticable.
(6) Special
operating requirements for industrial furnaces that recycle collected PM.
Owners and operators of industrial furnaces that recycle back into the furnace
particulate matter (PM) from the air pollution control system must:
(i) When complying with the requirements of
paragraph (c)(3)(ii)(A) of this section, comply with the operating requirements
prescribed in "Alternative Method to Implement the Metals Controls" in appendix
IX of this part; and
(ii) When
complying with the requirements of paragraph (c)(3)(ii)(B) of this section,
comply with the operating requirements prescribed by that paragraph.
(7) Extensions of time.
(i) If the owner or operator does not submit
a complete certification of compliance for all of the applicable emissions
standards of 266.104, 266.105, 266.106, and 266.107 by August 21, 1992, he/she
must either:
(A) Stop burning hazardous waste
and begin closure activities under paragraph (l) of this section for the
hazardous waste portion of the facility; or
(B) Limit hazardous waste burning only for
purposes of compliance testing (and pretesting to prepare for compliance
testing) a total period of 720 hours for the period of time beginning August
21, 1992, submit a notification to the Department by August 21, 1992 stating
that the facility is operating under restricted interim status and intends to
resume burning hazardous waste, and submit a complete certification of
compliance by August 23, 1993; or
(C) Obtain a case-by-case extension of time
under paragraph (c)(7)(ii) of this section.
(ii) The owner or operator may request a
case-by-case extension of time to extend any time limit provided by paragraph
(c) of this section if compliance with the time limit is not practicable for
reasons beyond the control of the owner or operator.
(A) In granting an extension, the Department
may apply conditions as the facts warrant to ensure timely compliance with the
requirements of this section and that the facility operates in a manner that
does not pose a hazard to human health and the environment;
(B) When an owner or operator requests an
extension of time to enable the facility to comply with the alternative
hydrocarbon provisions of 266.104(f) and obtain a RCRA operating permit because
the facility cannot meet the HC limit of 266.104(c) of this chapter:
(1) The Department shall, in considering
whether to grant the extension:
(i) Determine
whether the owner and operator have submitted in a timely manner a complete
part B permit application that includes information required under 270.22(b) of
this chapter; and
(ii) Consider
whether the owner and operator have made a good faith effort to certify
compliance with all other emission controls, including the controls on dioxins
and furans of 266.104(e) and the controls on PM, metals, and
HCl/Cl2.
(2) If an extension is granted, the
Department shall, as a condition of the extension, require the facility to
operate under flue gas concentration limits on CO and HC that, based on
available information, including information in the part B permit application,
are baseline CO and HC levels as defined by 266.104(f)(1).
(8) Revised
certification of compliance. The owner or operator may submit at any time a
revised certification of compliance (recertification of compliance) under the
following procedures:
(i) Prior to submittal
of a revised certification of compliance, hazardous waste may not be burned for
more than a total of 720 hours under operating conditions that exceed those
established under a current certification of compliance, and such burning may
be conducted only for purposes of determining whether the facility can operate
under revised conditions and continue to meet the applicable emissions
standards of 266.104, 266.105, 266.106, and 266.107;
(ii) At least 30 days prior to first burning
hazardous waste under operating conditions that exceed those established under
a current certification of compliance, the owner or operator shall notify the
Department and submit the following information:
(A) EPA facility ID number, and facility
name, contact person, telephone number, and address;
(B) Operating conditions that the owner or
operator is seeking to revise and description of the changes in facility design
or operation that prompted the need to seek to revise the operating
conditions;
(C) A determination
that when operating under the revised operating conditions, the applicable
emissions standards of 266.104, 266.105, 266.106, and 266.107 are not likely to
be exceeded. To document this determination, the owner or operator shall submit
the applicable information required under paragraph (b)(2) of this section;
and
(D) Complete emissions testing
protocol for any pretesting and for a new compliance test to determine
compliance with the applicable emissions standards of 266.104, 266.105,
266.106, and 266.107 when operating under revised operating conditions. The
protocol shall include a schedule of pretesting and compliance testing. If the
owner and operator revises the scheduled date for the compliance test, he/she
shall notify the Department in writing at least 30 days prior to the revised
date of the compliance test;
(iii) Conduct a compliance test under the
revised operating conditions and the protocol submitted to the Department to
determine compliance with the applicable emissions standards of 266.104,
266.105, 266.106, and 266.107; and
(iv) Submit a revised certification of
compliance under paragraph (c)(4) of this section.
(d) Periodic
Recertifications. The owner or operator must conduct compliance testing and
submit to the Department a recertification of compliance under provisions of
paragraph (c) of this section within five years from submitting the previous
certification or recertification. If the owner or operator seeks to recertify
compliance under new operating conditions, he/she must comply with the
requirements of paragraph (c)(8) of this section.
(e) Noncompliance with certification
schedule. If the owner or operator does not comply with the interim status
compliance schedule provided by paragraphs (b), (c), and (d) of this section,
hazardous waste burning must terminate on the date that the deadline is missed,
closure activities must begin under paragraph (l) of this section, and
hazardous waste burning may not resume except under an operating permit issued
under 270.66 of this chapter. For purposes of compliance with the closure
provisions of paragraph (l) of this section and 265.112(d)(2) and 265.113 of
this chapter the boiler or industrial furnace has received "the known final
volume of hazardous waste" on the date that the deadline is missed.
(f) Startup and shutdown. Hazardous waste
(except waste fed solely as an ingredient under the Tier I (or adjusted Tier I)
feed rate screening limits for metals and chloride/chlorine) must not be fed
into the device during startup and shutdown of the boiler or industrial
furnace, unless the device is operating within the conditions of operation
specified in the certification of compliance.
(g) Automatic waste feed cutoff. During the
compliance test required by paragraph (c)(3) of this section, and upon
certification of compliance under paragraph (c) of this section, a boiler or
industrial furnace must be operated with a functioning system that
automatically cuts off the hazardous waste feed when the applicable operating
conditions specified in paragraphs (c)(1) (i) and (v through xiii) of this
section deviate from those established in the certification of compliance. In
addition:
(1) To minimize emissions of organic
compounds, the minimum combustion chamber temperature (or the indicator of
combustion chamber temperature) that occurred during the compliance test must
be maintained while hazardous waste or hazardous waste residues remain in the
combustion chamber, with the minimum temperature during the compliance test
defined as either:
(i) If compliance with the
combustion chamber temperature limit is based on an hourly rolling average, the
minimum temperature during the compliance test is considered to be the average
over all runs of the lowest hourly rolling average for each run; or
(ii) If compliance with the combustion
chamber temperature limit is based on an instantaneous temperature measurement,
the minimum temperature during the compliance test is considered to be the
time-weighted average temperature during all runs of the test; and
(2) Operating parameters limited
by the certification of compliance must continue to be monitored during the
cutoff, and the hazardous waste feed shall not be restarted until the levels of
those parameters comply with the limits established in the certification of
compliance.
(h) Fugitive
emissions. Fugitive emissions must be controlled by:
(1) Keeping the combustion zone totally
sealed against fugitive emissions; or
(2) Maintaining the combustion zone pressure
lower than atmospheric pressure; or
(3) An alternate means of control that the
owner or operator can demonstrate provide fugitive emissions control equivalent
to maintenance of combustion zone pressure lower than atmospheric pressure.
Support for such demonstration shall be included in the operating
record.
(i) Changes. A
boiler or industrial furnace must cease burning hazardous waste when changes in
combustion properties, or feed rates of the hazardous waste, other fuels, or
industrial furnace feedstocks, or changes in the boiler or industrial furnace
design or operating conditions deviate from the limits specified in the
certification of compliance.
(j)
Monitoring and Inspections.
(1) The owner or
operator must monitor and record the following, at a minimum, while burning
hazardous waste:
(i) Feed rates and
composition of hazardous waste, other fuels, and industrial furnace feed
stocks, and feed rates of ash, metals, and total chloride and chlorine as
necessary to ensure conformance with the certification of precompliance or
certification of compliance;
(ii)
Carbon monoxide (CO), oxygen, and if applicable, hydrocarbons (HC), on a
continuous basis at a common point in the boiler or industrial furnace
downstream of the combustion zone and prior to release of stack gases to the
atmosphere in accordance with the operating limits specified in the
certification of compliance. CO, HC, and oxygen monitors must be installed,
operated, and maintained in accordance with methods specified in Appendix IX of
this part.
(iii) Upon the request
of the Department, sampling and analysis of the hazardous waste (and other
fuels and industrial furnace feed stocks as appropriate) and the stack gas
emissions must be conducted to verify that the operating conditions established
in the certification of precompliance or certification of compliance achieve
the applicable standards of 266.104, 266.105, 266.106, and 266.107.
(2) The boiler or industrial
furnace and associated equipment (pumps, valves, pipes, fuel storage tanks,
etc.) must be subjected to thorough visual inspection when they contain
hazardous waste, at least daily for leaks, spills, fugitive emissions, and
signs of tampering.
(3) The
automatic hazardous waste feed cutoff system and associated alarms must be
tested at least once every 7 days when hazardous waste is burned to verify
operability, unless the owner or operator can demonstrate that weekly
inspections will unduly restrict or upset operations and that less frequent
inspections will be adequate. Support for such demonstration shall be included
in the operating record. At a minimum, operational testing must be conducted at
least once every 30 days.
(4) These
monitoring and inspection data must be recorded and the records must be placed
in the operating log.
(k) Recordkeeping. The owner or operator must
keep in the operating record of the facility all information and data required
by this section for five years.
(l)
Closure. At closure, the owner or operator must remove all hazardous waste and
hazardous waste residues (including, but not limited to, ash, scrubber waters,
and scrubber sludges) from the boiler or industrial furnace and must comply
with 265.111 through 265.115 of this chapter.