Current through Register Vol. 41, No. 3, September 23, 2024
Any operator whose registration statement is accepted by the
department will receive the following general permit and shall comply with the
requirements contained in this general permit and be subject to all
requirements of 9VAC25-875.
Any operator with a stormwater discharge associated with a
small construction activity of a single-family detached residential structure,
within or outside a common plan of development or sale, is authorized to
discharge under the following general permit and shall comply with the
requirements contained in this general permit and be subject to all
requirements of 9VAC25-875.
GENERAL VPDES PERMIT FOR DISCHARGES OF STORMWATER FROM
CONSTRUCTION ACTIVITIES
AUTHORIZATION TO DISCHARGE UNDER THE VIRGINIA EROSION AND
STORMWATER MANAGEMENT PROGRAM AND THE VIRGINIA EROSION AND STORMWATER
MANAGEMENT ACT
In compliance with the provisions of the Clean Water Act, as
amended, and pursuant to the Virginia Erosion and Stormwater Management Act and
regulations adopted pursuant thereto, operators of construction activities are
authorized to discharge to surface waters within the boundaries of the
Commonwealth of Virginia, except those specifically named in State Water
Control Board regulations that prohibit such discharges.
The authorized discharge shall be in accordance with the
registration statement filed with the Department of Environmental Quality, this
cover page, Part I - Discharge Authorization and Special Conditions, Part II -
Stormwater Pollution Prevention Plan, and Part III - Conditions Applicable to
All VPDES Permits as set forth in this general permit.
For stormwater discharge associated with a small
construction activity of a single-family detached residential structure, within
or outside a common plan of development or sale, the authorized discharge shall
be in accordance with this cover page, Part I - Discharge Authorization and
Special Conditions, Part II - Stormwater Pollution Prevention Plan, and Part
III - Conditions Applicable to All VPDES Permits as set forth in this general
permit.
Part I
DISCHARGE AUTHORIZATION AND SPECIAL CONDITIONS
A. Coverage under this general permit.
1. During the period beginning with the date
of coverage under this general permit and lasting until the general permit's
expiration date, the operator is authorized to discharge stormwater from
construction activities.
2. This
general permit also authorizes stormwater discharges from construction support
activities located on-site or off-site provided that:
a. The support activity is directly related
to the construction site that is required to have general permit coverage for
discharges;
b. The support activity
is neither a commercial operation nor serves multiple unrelated construction
sites;
c. The support activity does
not operate beyond the completion of the last construction activity it
supports;
d. The support activity
is identified in the registration statement at the time of general permit
coverage or reported in a modified registration statement once the need for the
support activity is known;
e.
Appropriate control measures are identified in a stormwater pollution
prevention plan and implemented to address the discharges from the support
activity; and
f. All applicable
state, federal, and local approvals are obtained for the support
activity.
B.
Limitations on coverage.
1. Post-construction
discharges. This general permit does not authorize stormwater discharges that
originate from the construction site after construction activities have been
completed and the construction site, including any construction support
activity covered under the general permit registration, has undergone final
stabilization. Post-construction industrial stormwater discharges may need to
be covered by a separate VPDES permit.
2. Discharges mixed with nonstormwater. This
general permit does not authorize discharges that are mixed with sources of
nonstormwater, other than those discharges that are identified in Part I E
(Authorized nonstormwater discharges) and are in compliance with this general
permit.
3. Discharges covered by
another permit. This general permit does not authorize discharges of stormwater
from construction activities that are covered under an individual permit or
required to obtain coverage under an alternative general permit.
4. Impaired waters and total maximum daily
load (TMDL) limitation.
a. Nutrient and
sediment impaired waters. Discharges of stormwater from construction activities
to surface waters identified as impaired in the 2022 § 305(b)/303(d) Water
Quality Assessment Integrated Report for Benthic Macroinvertebrates
Bioassessments or for which a TMDL wasteload allocation has been established
and approved prior to the term of this general permit for (i) sediment or a
sediment-related parameter (i.e., total suspended solids or turbidity) or (ii)
nutrients (i.e., nitrogen or phosphorus), including all surface waters within
the Chesapeake Bay Watershed, are not eligible for coverage under this general
permit unless the operator develops, implements, and maintains a stormwater
pollution prevention plan (SWPPP) in accordance with Part II B 5 of this permit
that minimizes the pollutants of concern and, when applicable, is consistent
with the assumptions and requirements of the approved TMDL wasteload
allocations and implements an inspection frequency consistent with Part II G 2
a.
b. Polychlorinated biphenyl
(PCB) impaired waters. Discharges of stormwater from construction activities
that include the demolition of any structure with at least 10,000 square feet
of floor space built or renovated before January 1, 19 80, to surface waters
identified as impaired in the 2022 § 305(b)/303(d) Water Quality
Assessment Integrated Report or for which a TMDL wasteload allocation has been
established and approved prior to the term of this general permit for PCB are
not eligible for coverage under this general permit unless the operator
develops, implements, and maintains a SWPPP in accordance with Part II B 6 of
this permit that minimizes the pollutants of concern and, when applicable, is
consistent with the assumptions and requirements of the approved TMDL wasteload
allocations and implements an inspection frequency consistent with Part II G 2
a.
5. Exceptional waters
limitation. Discharges of stormwater from construction activities not
previously covered under the general permit effective on July 1, 2019, to
exceptional waters identified in
9VAC25-260-30 A 3 c are not
eligible for coverage under this general permit unless the operator develops,
implements, and maintains a SWPPP in accordance with Part II B 7 of this permit
and implements an inspection frequency consistent with Part II G 2 a.
6. There shall be no discharge of floating
solids or visible foam in other than trace amounts.
C. Commingled discharges. Discharges
authorized by this general permit may be commingled with other sources of
stormwater that are not required to be covered under a permit, so long as the
commingled discharge is in compliance with this general permit. Discharges
authorized by a separate state or VPDES permit may be commingled with
discharges authorized by this general permit so long as all such discharges
comply with all applicable state and VPDES permit requirements.
D. Prohibition of nonstormwater discharges.
Except as provided in Part I A 2, C, and E, all discharges covered by this
general permit shall be composed entirely of stormwater associated with
construction activities. All other discharges, including the following are
prohibited:
1. Wastewater from washout of
concrete;
2. Wastewater from the
washout or cleanout of stucco, paint, form release oils, curing compounds, and
other construction materials;
3.
Fuels, oils, or other pollutants used in vehicle and equipment operation and
maintenance;
4. Oils, toxic
substances, or hazardous substances from spills or other releases;
and
5. Soaps, solvents, or
detergents used in equipment and vehicle washing.
E. Authorized nonstormwater discharges. The
following nonstormwater discharges from construction activities are authorized
by this general permit:
1. Discharges from
emergency firefighting activities;
2. Fire hydrant flushings, managed to avoid
an instream impact;
3. Waters used
to wash vehicles or equipment, provided no soaps, solvents, or detergents are
used and the wash water is filtered, settled, or similarly treated prior to
discharge;
4. Water used to control
dust that is filtered, settled, or similarly treated prior to
discharge;
5. Potable water,
including uncontaminated waterline flushings, managed in a manner to avoid an
instream impact;
6. Routine
external building wash down provided no soaps, solvents or detergents are used,
external building surfaces do not contain hazardous substances, and the wash
water is filtered, settled, or similarly treated prior to discharge;
7. Pavement wash waters, provided spills or
leaks of toxic or hazardous materials have not occurred, unless all spilled or
leaked material has been removed prior to washing; soaps, solvents, or
detergents are not used; and where the wash water is filtered, settled, or
similarly treated prior to discharge;
8. Uncontaminated air conditioning or
compressor condensate;
9.
Uncontaminated ground water or spring water;
10. Foundation or footing drains, provided
flows are not contaminated with process materials such as solvents or
contaminated groundwater;
11.
Uncontaminated excavation dewatering, including dewatering of trenches and
excavations that are filtered, settled, or similarly treated prior to
discharge; and
12. Landscape
irrigation.
F.
Termination of general permit coverage.
1. The
operator of the construction activity shall submit a notice of termination in
accordance with
9VAC25-880-60, unless a
registration statement was not required to be submitted in accordance with
9VAC25-880-50 A 1 c or A 2 b for
single-family detached residential structures, to the Virginia Erosion and
Stormwater Management (VESMP) authority after one or more of the following
conditions have been met:
a. Necessary
permanent control measures included in the SWPPP for the construction site are
in place and functioning effectively and final stabilization has been achieved
on all portions of the construction site for which the operator has operational
control. When applicable, long-term responsibility and maintenance requirements
for permanent control measures shall be recorded in the local land records
prior to the submission of a complete and accurate notice of termination and
the construction record drawing prepared;
b. Another operator has assumed control over
all areas of the construction site that have not been finally stabilized and
obtained coverage for the ongoing discharge;
c. Coverage under an alternative VPDES permit
or other applicable permit has been obtained; or
d. For individual lots in residential
construction only, final stabilization as defined in
9VAC25-880-1 has been completed,
including providing written notification to the homeowner and incorporating a
copy of the notification and signed certification statement into the SWPPP, and
the residence has been transferred to the homeowner.
2. The notice of termination shall be
submitted no later than 30 days after one of the conditions in subdivision 1 of
this subsection is met.
3.
Termination of authorization to discharge shall be effective upon notification
from the department that the provisions of subdivision 1 of this subsection
have been met or 90 days after submittal of a complete and accurate notice of
termination in accordance with
9VAC25-880-60 C, whichever occurs
first, unless otherwise notified by the VESMP or the department.
4. The notice of termination shall be signed
in accordance with Part III K 1 and include the required certification in
accordance with Part III K 4 of this general permit.
G. Water quality protection.
1. The operator shall select, install,
implement, and maintain control measures as identified in the SWPPP at the
construction site that minimize pollutants in the discharge as necessary to
ensure that the operator's discharge does not cause or contribute to an
excursion above any applicable water quality standard.
2. If it is determined by the department that
the operator's discharges are causing, have reasonable potential to cause, or
are contributing to an excursion above any applicable water quality standard,
the department, in consultation with the VESMP authority, may take appropriate
enforcement action and require the operator to:
a. Modify or implement additional control
measures in accordance with Part II C to adequately address the identified
water quality concerns;
b. Submit
valid and verifiable data and information that are representative of ambient
conditions and indicate that the receiving water is attaining water quality
standards; or
c. Submit an
individual permit application in accordance with
9VAC25-875-980 B 3.
H. All written responses
required under this general permit shall include a signed certification
consistent with Part III K.
Part
II
STORMWATER POLLUTION PREVENTION PLAN
A. Stormwater pollution prevention plan.
1. A stormwater pollution prevention plan
(SWPPP) shall be developed prior to the submission of a registration statement
and implemented for the construction activity, including any construction
support activity, covered by this general permit. For a small construction
activity of a single-family detached residential structure, within or outside a
common plan of development or sale, a SWPPP shall be developed and implemented
prior to the initiation of the construction activity, including any
construction support activity covered by this general permit.
2. SWPPPs shall be prepared in accordance
with good engineering practices. Construction activities that are part of a
larger common plan of development or sale and disturb less than one acre may
utilize a SWPPP template provided by the department and need not provide a
separate stormwater management plan if one has been prepared and implemented
for the larger common plan of development or sale.
3. The SWPPP requirements of this general
permit may be fulfilled by incorporating by reference other plans such as a
spill prevention control and countermeasure (SPCC) plan developed for the
construction site under § 311 of the federal Clean Water Act or best
management practices (BMP) programs otherwise required for the construction
site provided that the incorporated plan meets or exceeds the SWPPP
requirements of Part II B. All plans incorporated by reference into the SWPPP
become enforceable under this general permit. If a plan incorporated by
reference does not contain all of the required elements of the SWPPP, the
operator shall develop the missing elements and include them in the
SWPPP.
4. Any operator that was
authorized to discharge under the general permit effective July 1, 2019, and
that intends to continue coverage under this general permit shall update its
stormwater pollution prevention plan to comply with the requirements of this
general permit no later than 60 days after the date of coverage under this
general permit.
B.
Contents. The SWPPP shall include the following items:
1. General information.
a. A signed copy of the registration
statement, if required, for coverage under this general permit;
b. Upon receipt, a copy of the notice of
coverage under this general permit (i.e., notice of coverage letter);
c. Upon receipt, a copy of the general VPDES
permit for discharges of stormwater from construction activities;
d. A narrative description of the nature of
the construction activity, including the function of the project (e.g., low
density residential, shopping mall, highway);
e. A legible map of the construction site
identifying:
(1) Existing and proposed
drainage patterns on the construction site and approximate slopes before and
after major grading activities;
(2)
Limits of clearing and grading (i.e., land disturbance) including steep slopes
and natural buffers around surface waters that will remain
undisturbed;
(3) Locations of major
structural and nonstructural control measures, including sediment basins and
traps, perimeter dikes and diversions, sediment barriers, and other measures
intended to filter, settle, or similarly treat sediment that will be installed
between disturbed areas and the undisturbed vegetated areas in order to
increase sediment removal and maximize stormwater infiltration;
(4) Locations of surface waters;
(5) Locations where concentrated stormwater
is discharged;
(6) Locations of any
construction support activities, including (i) areas where equipment and
vehicle washing, wheel wash water, and other wash water is to occur; (ii)
storage areas for chemicals such as acids, fuels, fertilizers, and other lawn
care chemicals; (iii) concrete wash out areas; (iv) vehicle fueling and
maintenance areas; (v) sanitary waste facilities, including those temporarily
placed on the construction site; (vi) construction waste storage; and (vii)
areas where polymers, flocculants, or other stormwater treatment chemicals will
be used or stored; and
(7) When
applicable, the location of the on-site rain gauge or the methodology
established in consultation with the VESMP authority used to identify
measurable storm events for inspection as allowed by Part II G 2 a (1) (ii) or
2 b (2).
2.
Erosion and sediment control plan for the construction activity authorized by
this general permit.
a. An erosion and
sediment control plan designed and approved in accordance with the Virginia
Erosion and Stormwater Management Regulations (9VAC25-875), an "agreement in
lieu of a plan" as defined in
9VAC25-875-20, or an erosion and
sediment control plan prepared in accordance with department-approved standards
and specifications.
b. All erosion
and sediment control plans shall include a statement describing the maintenance
responsibilities required for the erosion and sediment controls used.
c. An approved erosion and sediment control
plan, "agreement in lieu of a plan," or erosion and sediment control plan
prepared in accordance with department-approved standards and specifications
shall be implemented to:
(1) Control the
volume and velocity of stormwater runoff within the construction site to
minimize soil erosion;
(2) Control
stormwater discharges, including peak flow rates and total stormwater volume,
to minimize erosion at outlets and to minimize downstream channel and stream
bank erosion;
(3) Minimize the
amount of soil exposed during the construction activity;
(4) Minimize the disturbance of steep
slopes;
(5) Minimize sediment
discharges from the construction site in a manner that addresses (i) the
amount, frequency, intensity, and duration of precipitation; (ii) the nature of
resulting stormwater runoff; and (iii) soil characteristics, including the
range of soil particle sizes present on the construction site;
(6) Provide and maintain natural buffers
around surface waters, direct stormwater to vegetated areas to increase
sediment removal, and maximize stormwater infiltration, unless infiltration
would be inadvisable due to the underlying geology (e.g., karst topography) and
groundwater contamination concerns or infeasible due to site
conditions;
(7) Minimize soil
compaction. Minimizing soil compaction is not required where the intended
function of a specific area of the construction site dictates that it be
compacted;
(8) Unless infeasible,
preserve topsoil. Preserving topsoil is not required where the intended
function of a specific area of the construction site dictates that the topsoil
be disturbed or removed;
(9) Ensure
the initiation of stabilization activities of disturbed areas occurs
immediately whenever any clearing, grading, excavating, or other
land-disturbing activities have permanently ceased on any portion of the
construction site, or temporarily ceased on any portion of the construction
site and will not resume for a period exceeding 14 days; and
(10) Utilize outlet structures that withdraw
stormwater from the surface (i.e., above the permanent pool or wet storage
water surface elevation), unless infeasible, when discharging from sediment
basins or sediment traps.
3. Stormwater management plan for the
construction activity authorized by this general permit.
a. Except for those projects identified in
Part II B 3 b, a stormwater management plan approved in accordance with the
Virginia Erosion and Stormwater Management Regulation (9VAC25-875) or an
"agreement in lieu of a plan" as defined in
9VAC25-875-20 or a stormwater
management plan prepared in accordance with department-approved standards and
specifications.
b. For any operator
meeting the conditions of
9VAC25-875-480 B of the Virginia
Erosion and Stormwater Management Regulation, an approved stormwater management
plan is not required. In lieu of an approved stormwater management plan, the
SWPPP shall include a description of and all necessary calculations supporting
all post-construction stormwater management measures that will be installed
prior to the completion of the construction process to control pollutants in
stormwater discharges after construction operations have been completed.
Structural measures should be placed on upland soils to the degree possible.
Such measures must be designed and installed in accordance with applicable
VESCP authority, VESMP authority, state, and federal requirements, and any
necessary permits must be obtained.
4. Pollution prevention plan for the
construction activity authorized by this general permit. A pollution prevention
plan that addresses potential pollutant-generating activities that may
reasonably be expected to affect the quality of stormwater discharges from the
construction activity, including any support activity. The pollution prevention
plan shall:
a. Identify the potential
pollutant-generating activities and the pollutant that is expected to be
exposed to stormwater;
b. Describe
the location where the potential pollutant-generating activities will occur, or
if identified on the site plan, reference the site plan;
c. Identify all nonstormwater discharges, as
authorized in Part I E of this general permit, that are or will be commingled
with stormwater discharges from the construction activity, including any
applicable support activity;
d.
Identify the person responsible for implementing the pollution prevention
practices for each pollutant-generating activity (if other than the person
listed as the qualified personnel);
e. Describe the pollution prevention
practices and procedures that will be implemented to:
(1) Prevent and respond to leaks, spills, and
other releases, including (i) procedures for expeditiously stopping,
containing, and cleaning up spills, leaks, and other releases; and (ii)
procedures for reporting leaks, spills, and other releases in accordance with
Part III G;
(2) Prevent the
discharge of spilled and leaked fuels and chemicals from vehicle fueling and
maintenance activities (e.g., providing secondary containment such as spill
berms, decks, spill containment pallets, providing cover where appropriate, and
having spill kits readily available);
(3) Prevent the discharge of soaps, solvents,
detergents, and wash water from construction materials, including the clean-up
of stucco, paint, form release oils, and curing compounds (e.g., providing (i)
cover (e.g., plastic sheeting or temporary roofs) to prevent contact with
stormwater; (ii) collection and proper disposal in a manner to prevent contact
with stormwater; and (iii) a similarly effective means designed to prevent
discharge of these pollutants);
(4)
Minimize the discharge of pollutants from vehicle and equipment washing, wheel
wash water, and other types of washing (e.g., locating activities away from
surface waters and storm drain inlets and constructed or natural site drainage
features and directing wash waters to sediment basins or traps, using
filtration devices such as filter bags or sand filters, or using similarly
effective controls);
(5) Direct
concrete wash water into a leak-proof container or leak-proof settling basin
designed so that no overflows can occur due to inadequate sizing or
precipitation. Hardened concrete wastes shall be removed and disposed of in a
manner consistent with the handling of other construction wastes. Liquid
concrete wastes shall be removed and disposed of in a manner consistent with
the handling of other construction wash waters and shall not be discharged to
surface waters, disposed of through infiltration, or otherwise disposed of on
the ground;
(6) Minimize the
discharge of pollutants from storage, handling, and disposal of construction
products, materials, and wastes, including (i) building products such as
asphalt sealants, copper flashing, roofing materials, adhesives, and concrete
admixtures; (ii) pesticides, herbicides, insecticides, fertilizers, and
landscape materials; and (iii) construction and domestic wastes such as
packaging materials, scrap construction materials, masonry products, timber,
pipe and electrical cuttings, plastics, Styrofoam, concrete, and other trash or
building materials;
(7) Prevent the
discharge of fuels, oils, and other petroleum products, hazardous or toxic
wastes, waste concrete, and sanitary wastes;
(8) Address any other discharge from the
potential pollutant-generating activities not addressed in this subdivision 4;
and
(9) Minimize the exposure of
waste materials to precipitation by closing or covering waste containers during
precipitation events and at the end of the business day or implementing other
similarly effective practices. Minimization of exposure is not required in
cases where the exposure to precipitation will not result in a discharge of
pollutants; and
f.
Describe procedures for providing pollution prevention awareness of all
applicable wastes, including any wash water, disposal practices, and applicable
disposal locations of such wastes, to personnel in order to comply with the
conditions of this general permit. The operator shall implement the procedures
described in the SWPPP.
5. SWPPP requirements for discharges to
nutrient and sediment impaired waters. For discharges to surface waters (i)
identified as impaired in the 2022 § 305(b)/303(d) Water Quality
Assessment Integrated Report for Benthic Macroinvertebrates Bioassessments or
(ii) with an applicable TMDL wasteload allocation established and approved
prior to the term of this general permit for sediment or a sediment-related
parameter (i.e., total suspended solids or turbidity) or nutrients (i.e.,
nitrogen or phosphorus), including all surface waters within the Chesapeake Bay
Watershed, the operator shall:
a. Identify the
impaired waters, approved TMDLs, and pollutants of concern in the SWPPP;
and
b. Provide documentation in the
SWPPP that:
(1) Permanent or temporary soil
stabilization shall be applied to denuded areas within seven days after final
grade is reached on any portion of the construction site;
(2) Nutrients shall be applied in accordance
with manufacturer's recommendations or an approved nutrient management plan and
shall not be applied during rainfall events; and
(3) A modified inspection schedule shall be
implemented in accordance with Part II G 2 a.
6. SWPPP requirements for discharges to
polychlorinated biphenyl (PCB) impaired waters. For discharges from
construction activities that include the demolition of any structure with at
least 10,000 square feet of floor space built or renovated before January 1,
1980, to surface waters (i) identified as impaired in the 2022 §
305(b)/303(d) Water Quality Assessment Integrated Report or (ii) with an
applicable TMDL wasteload allocation established and approved prior to the term
of this general permit for PCB, the operator shall:
a. Identify the impaired waters, approved
TMDLs, and pollutant of concern in the SWPPP;
b. Implement the approved erosion and
sediment control plan in accordance with Part II B 2;
c. Dispose of waste materials in compliance
with applicable state, federal, and local requirements; and
d. Implement a modified inspection schedule
in accordance with Part II G 2 a.
7. SWPPP requirements for discharges to
exceptional waters. For discharges to surface waters identified in
9VAC25-260-30 A 3 c as an
exceptional water, the operator shall:
a.
Identify the exceptional surface waters in the SWPPP; and
b. Provide documentation in the SWPPP that:
(1) Permanent or temporary soil stabilization
shall be applied to denuded areas within seven days after final grade is
reached on any portion of the construction site;
(2) Nutrients shall be applied in accordance
with manufacturer's recommendations or an approved nutrient management plan and
shall not be applied during rainfall events; and
(3) A modified inspection schedule shall be
implemented in accordance with Part II G 2 a.
8. SWPPP requirements for construction
dewatering discharges to sediment impaired waters or exceptional waters.
Dewatering discharges of uncontaminated stormwater or groundwater from footers
or foundations of a single-family detached residential structure are exempt
from the requirements of this subdivision 8, provided that such discharges are
not discharged directly to surface waters. For construction dewatering
discharges to surface waters (i) identified as impaired in the 2022 §
305(b)/303(d) Water Quality Assessment Integrated Report for Benthic
Macroinvertebrates Bioassessments; (ii) with an applicable TMDL wasteload
allocation established and approved prior to the term of this general permit
for sediment or a sediment-related parameter (i.e., total suspended solids or
turbidity), including all surface waters within the Chesapeake Bay Watershed;
or (iii) identified in
9VAC25-260-30 A 3 c as an
exceptional water, the operator shall undertake one of the following methods
for controlling and documenting construction dewatering discharges:
a. Turbidity benchmark option 1:
(1) Identify the location of all construction
dewatering discharges in the SWPPP;
(2) Select, install, implement, and maintain
control measures at each dewatering location that minimize pollutants,
including suspended solids, in construction dewatering discharges prior to
discharging into a stormwater conveyance system or surface water; and
(3) Provide documentation in the SWPPP that:
(a) Sample frequency. At least one grab
sample shall be collected from each construction dewatering discharge when the
first discharge at that location occurs, daily thereafter until the dewatering
discharge stops, and after any installation of new controls or routine
maintenance activity of existing controls. An upstream grab sample shall be
collected from the receiving stream;
(b) Sample timing. Grab samples of the
construction dewatering discharge shall be collected during the first 15
minutes of the construction dewatering discharge and daily thereafter until the
dewatering discharge stops. Upstream grab samples of the receiving stream shall
be collected within 15 minutes of the corresponding construction dewatering
discharge sample;
(c) Sample
location. Grab samples shall be collected after the construction dewatering
water has been filtered, settled, or similarly treated and prior to its
discharge into a stormwater conveyance system or surface water;
(d) Test methods. Grab samples taken as
required by this subdivision 8 shall be measured using a turbidity meter that
reports results in nephelometric turbidity units (NTUs) or formazin turbidity
units (FTUs), and a turbidity meter calibration verification shall be conducted
prior to each day's use, consistent with manufacturer
recommendations;
(e) Visual
monitoring. All dewatering discharges shall be visually monitored for changes
in the characterization of effluent discharge;
(f) Corrective action. If (i) any turbidity
measurement of the construction dewatering discharge exceeds the upstream grab
sample of the receiving stream by more than 50 NTUs/FTUs or (ii) visual
monitoring indicates a change in the characterization of effluent discharge,
corrective action shall be taken in accordance with Part II H 2 of this general
permit; and
(g) Recordkeeping.
Turbidity monitoring information (i.e., location, date, sample collection time,
and turbidity measurement) and any necessary corrective actions taken shall be
recorded in the SWPPP; or
b. Turbidity benchmark option 2:
(1) Identify the location of all construction
dewatering discharges in the SWPPP;
(2) Select, install, implement, and maintain
control measures at each dewatering location that minimize pollutants,
including suspended solids, in construction dewatering discharges prior to
discharging into a stormwater conveyance system or surface water; and
(3) Provide documentation in the SWPPP that:
(a) Sample frequency. At least one grab
sample shall be collected from each construction dewatering discharge when the
first discharge at that location occurs, daily thereafter until the dewatering
discharge stops, and after any installation of new controls or routine
maintenance activity of existing controls. Grab samples shall be tested to
confirm a turbidity measurement of equal to or less than 150 NTUs/FTUs from the
construction dewatering discharge;
(b) Sample timing. Grab samples of the
construction dewatering discharge shall be collected during the first 15
minutes of the construction dewatering discharge and daily thereafter until the
dewatering discharge stops;
(c)
Sample location. Grab samples shall be collected after the construction
dewatering water has been filtered, settled, or similarly treated and prior to
its discharge into a stormwater conveyance system or surface water;
(d) Test methods. Grab samples taken as
required by this subdivision 8 shall be measured using a turbidity meter that
reports results in nephelometric turbidity units (NTUs) or formazin turbidity
unit (FTUs), and a turbidity meter calibration verification shall be conducted
prior to each day's use, consistent with manufacturer
recommendations;
(e) Visual
monitoring. All dewatering discharges shall be visually monitored for changes
in the characterization of effluent discharge;
(f) Corrective action. If (i) any turbidity
measurement of the construction dewatering discharge exceeds 150 NTUs/FTUs or
(ii) visual monitoring indicates a change in the characterization of effluent
discharge, corrective action shall be taken in accordance with Part II H 2 of
this general permit; and
(g)
Recordkeeping. Turbidity monitoring information (i.e., location, date, sample
collection time, and turbidity measurement) and any necessary corrective
actions taken shall be recorded in the SWPPP; or
c. Turbidity benchmark option 3:
(1) Identify the location of all construction
dewatering discharges in the SWPPP;
(2) Select, install, implement, and maintain
control measures at each dewatering location that minimize pollutants,
including suspended solids, in construction dewatering discharges prior to
discharging into a stormwater conveyance system or surface water; and
(3) Provide documentation in the SWPPP that:
(a) Sample frequency. At least one grab
sample shall be collected from each construction dewatering discharge when the
first discharge at that location occurs, daily thereafter until the dewatering
discharge stops, and after any installation of new controls or routine
maintenance activity of existing controls. Grab samples shall be tested to
confirm a turbidity measurement of equal to or less than 50 NTUs/FTUs, based on
a weekly average, from the construction dewatering discharge;
(b) Sample timing. Grab samples of the
construction dewatering discharge shall be collected during the first 15
minutes of the construction dewatering discharge and daily thereafter until the
dewatering discharge stops:
(c)
Sample location. Grab samples shall be collected after the construction
dewatering water has been filtered, settled, or similarly treated and prior to
its discharge into a stormwater conveyance system or surface water;
(d) Test methods. Grab samples taken as
required by this subdivision 8 shall be measured using a turbidity meter that
reports results in NTUs or FTUs, and a turbidity meter calibration verification
shall be conducted prior to each day's use, consistent with manufacturer
recommendations;
(e) Visual
monitoring. All dewatering discharges shall be visually monitored for changes
in the characterization of effluent discharge;
(f) Corrective action. If (i) the weekly
average of the turbidity measurements of the construction dewatering discharge
exceeds 50 NTUs/FTUs or (ii) visual monitoring indicates a change in the
characterization of effluent discharge, corrective action shall be taken in
accordance with Part II H 2. The weekly average is the sum of all turbidity
samples taken during a monitoring week (starting on Monday and ending on
Sunday) divided by the number of samples measures during that week;
and
(g) Recordkeeping. Turbidity
monitoring information (i.e., location, date, sample collection time, and
turbidity measurement) and any necessary corrective actions taken shall be
recorded in the SWPPP.
d. Request for alternative benchmark
threshold:
(1) At any time prior to or during
coverage under this permit, a request may be submitted to the department to
approve a benchmark that is higher than turbidity benchmark options 1, 2, and 3
if information is available demonstrating the higher number is the same as the
receiving water's water quality standard for turbidity. To request approval of
an alternate benchmark, the operator must submit the following to the
department:
(a) The current turbidity water
quality standard that applies to the receiving water; and
(b) Information on the natural or background
turbidity level to determine the specific standard for the receiving water,
including available data that can be used to establish the natural turbidity
levels of the receiving water.
(2) The department will notify the operator
of its decision on whether to approve the requested alternate benchmark within
30 days. Until the department approves an alternate benchmark, the operator is
required to use the option 1, option 2, or option 3 turbidity benchmark and
take any required corrective actions if an exceedance occurs.
9. Identification of
qualified personnel. The name, telephone number, and qualifications of the
qualified personnel conducting inspections required by this general
permit.
10. Duly authorized
representatives. The SWPPP shall include the names of individuals or positions
duly authorized to sign inspection reports or modify the SWPPP on behalf of the
operator. Any authorization shall be signed and dated in accordance with Part
III K 2 and shall include the required certification in accordance with Part
III K 4.
11. SWPPP signature and
certification. The SWPPP shall be signed and dated in accordance with Part III
K 2 of this general permit and shall include the required certification in
accordance with Part III K 4 of this general permit.
C. SWPPP amendments, modification, and
updates.
1. The operator shall amend the SWPPP
whenever there is a change in the design, construction, operation, or
maintenance that has a significant effect on the discharge of pollutants to
surface waters and that has not been previously addressed in the
SWPPP.
2. The SWPPP shall be
amended if during inspections or investigations by the operator's qualified
personnel or by local, state, or federal officials, it is determined that the
existing control measures are ineffective in minimizing pollutants in
discharges from the construction activity. Revisions to the SWPPP shall include
additional or modified control measures designed and implemented to correct
problems identified. If approval by the VESCP authority, VESMP authority, or
department is necessary for the control measure, revisions to the SWPPP shall
be completed no later than five business days following approval.
Implementation of these additional or modified control measures shall be
accomplished as described in Part II H.
3. The SWPPP shall clearly identify the
contractors that will implement and maintain each control measure identified in
the SWPPP. The SWPPP shall be amended to identify any new contractor that will
implement and maintain a control measure.
4. The operator shall update the SWPPP as
soon as possible but no later than five business days following any
modification to its implementation. All modifications or updates to the SWPPP
shall be noted and shall include the following items:
a. A record of dates when:
(1) Major grading activities occur;
(2) Construction activities temporarily or
permanently cease on a portion of the construction site; and
(3) Stabilization measures are
initiated;
b.
Documentation of replaced or modified controls where periodic inspections or
other information have indicated that the controls have been used
inappropriately or incorrectly and were modified;
c. Areas that have reached final
stabilization and where no further SWPPP or inspection requirements
apply;
d. All properties that are
no longer under the legal control of the operator and the dates on which the
operator no longer had legal control over each property;
e. The date of any prohibited discharges, the
discharge volume released, and what actions were taken to minimize the impact
of the release;
f. Measures taken
to prevent the reoccurrence of any prohibited discharge; and
g. Measures taken to address any evidence
identified as a result of an inspection required under Part II G.
5. Amendments, modifications, or
updates to the SWPPP shall be signed in accordance with Part III K 2 and shall
include the required certification in accordance with Part III K 4.
D. Public notification. Upon
commencement of construction activities, the operator shall post a copy of the
notice of coverage letter at a publicly accessible location near the main
entrance of the construction site. For linear projects, the operator shall post
a copy of the notice of coverage letter at a publicly accessible location near
an active part of the construction site (e.g., where a pipeline crosses a
public road). The copy of the notice of coverage letter shall be visible such
that it can be readily viewed from a public right-of-way. The operator shall
maintain the posted information until termination of general permit coverage as
specified in Part I F.
E. SWPPP
availability.
1. Operators with day-to-day
operational control over SWPPP implementation shall have a copy of the SWPPP
available at a central location on-site for use by those identified as having
responsibilities under the SWPPP whenever they are on the construction
site.
2. The operator shall make
the SWPPP and all amendments, modifications, and updates available upon request
to the department, the VESMP authority, the EPA, the VESCP authority, local
government officials, or the operator of a municipal separate storm sewer
system receiving discharges from the construction activity. If an on-site
location is unavailable to store the SWPPP when no personnel are present,
notice of the SWPPP's location shall be posted near the main entrance of the
construction site.
3. The operator
shall make the SWPPP available for public review in an electronic format or in
hard copy. Information for public access to the SWPPP shall be posted and
maintained in accordance with Part II D. If not provided electronically, public
access to the SWPPP may be arranged upon request at a time and at a publicly
accessible location convenient to the operator or the operator's designee but
shall be no less than once per month and shall be during normal business hours.
Information not required to be contained within the SWPPP by this general
permit is not required to be released.
F. SWPPP implementation. The operator shall
implement the SWPPP and subsequent amendments, modifications, and updates from
commencement of land disturbance until termination of general permit coverage
as specified in Part I F.
1. All control
measures shall be properly maintained in effective operating condition in
accordance with good engineering practices and, where applicable, manufacturer
specifications.
2. If a site
inspection required by Part II G identifies a control measure that is not
operating effectively or needs routine maintenance, corrective actions or
routine maintenance shall be completed as soon as practicable, but no later
than five business days after discovery or a longer period as established by
the VESMP authority, to maintain the continued effectiveness of the control
measures.
3. If the operator must
make the same repairs more than two times to the same control at the same
location, even if the fix can be completed by the close of the next business
day, the operator shall either:
a. Complete
work to fix any subsequent repeat occurrences of this same problem under the
corrective action procedures in Part II H, including keeping any records of the
condition and how it was corrected under Part II C; or
b. Document in the inspection report under
Part II G why the specific reoccurrence of this same problem should still be
addressed as a routine maintenance fix.
4. If site inspections required by Part II G
identify an existing control measure that needs to be modified or if an
additional or alternative control measure is necessary for any reason,
implementation shall be completed prior to the next anticipated measurable
storm event. If implementation prior to the next anticipated measurable storm
event is impracticable, then additional or alternative control measures shall
be implemented as soon as practicable, but no later than five business days
after discovery or a longer period as established by the VESMP
authority.
G. SWPPP
Inspections.
1. Personnel responsible for
on-site and off-site inspections. Inspections required by this general permit
shall be conducted by the qualified personnel identified by the operator in the
SWPPP. The operator is responsible for ensuring that the qualified personnel
conduct the inspection. Qualified personnel may be a person on the operator's
staff or a third party hired to conduct such inspections.
2. Inspection schedule.
a. For construction activities that discharge
to a surface water identified in Part II B 5 and B 6 as impaired or having an
approved TMDL or Part II B 7 as exceptional, the following inspection schedule
requirements apply:
(1) Inspections shall be
conducted at a frequency of (i) at least once every four business days or (ii)
at least once every five business days and no later than 24 hours following a
measurable storm event. In the event that a measurable storm event occurs when
there are more than 24 hours between business days, the inspection shall be
conducted on the next business day; and
(2) Representative inspections as authorized
in Part II G 2 d shall not be allowed.
b. Except as specified in Part II G 2 a,
inspections shall be conducted at a frequency of:
(1) At least once every five business days;
or
(2) At least once every 10
business days and no later than 24 hours following a measurable storm event. In
the event that a measurable storm event occurs when there are more than 24
hours between business days, the inspection shall be conducted on the next
business day.
(a) A storm event that produces
0.25 inches or more of rain within a 24-hour period on the first day of the
storm and continues to produce 0.25 inches or more of rain on subsequent days.
The operator is required to conduct an inspection within 24 hours of the first
day of the storm and within 24 hours after the last day of the storm that
produces 0.25 inches or more of rain.
(b) A discharge caused by snowmelt from a
snow event producing 3.25 inches or more of snow within a 24-hour period. The
operator is required to conduct one inspection once the discharge of snowmelt
occurs. Additional inspections are only required if, following the discharge
from the first snowmelt, there is a discharge from a separate storm
event.
c. Where
areas have been temporarily stabilized or construction activities will be
suspended due to continuous frozen ground conditions and stormwater discharges
are unlikely, the inspection frequency described in Part II G 2 a and 2 b may
be reduced to once per month. If weather conditions (such as above freezing
temperatures or rain or snow events) make discharges likely, the operator shall
immediately resume the regular inspection frequency.
d. Except as prohibited in Part II G 2 a (2),
representative inspections may be utilized for utility line installation,
pipeline construction, or other similar linear construction activities provided
that:
(1) Temporary or permanent soil
stabilization has been installed and vehicle access may compromise the
temporary or permanent soil stabilization and potentially cause additional land
disturbance increasing the potential for erosion;
(2) Inspections occur on the same frequency
as other construction activities;
(3) Control measures are inspected along the
construction site 0.25 miles above and below each access point (i.e., where a
roadway, undisturbed right-of-way, or other similar feature intersects the
construction activity and access does not compromise temporary or permanent
soil stabilization); and
(4)
Inspection locations are provided in the inspection report required by Part II
G.
e. If adverse weather
causes the safety of the inspection personnel to be in jeopardy, the inspection
may be delayed until the next business day on which it is safe to perform the
inspection. Any time inspections are delayed due to adverse weather conditions,
evidence of the adverse weather conditions shall be included in the SWPPP with
the dates of occurrence.
3. Inspection requirements. As part of the
inspection, the qualified personnel shall at a minimum:
a. Record the date and time of the inspection
and, when applicable, the date and rainfall or snowfall amount of the last
measurable storm event;
b. Record
the information and a description of any discharges occurring at the time of
the inspection or evidence of discharges occurring prior to the
inspection;
c. Record any l
construction activities that have occurred outside of the approved erosion and
sediment control plan;
d. Inspect
all stormwater discharge locations at the construction site. If a stormwater
discharge is occurring during the inspection, observe and document the visual
quality and characteristics of the discharge, including color; odor; floating,
settled, or suspended solids; foam; oil sheen; and other indicators of
stormwater pollutants;
e. Inspect
all construction dewatering discharge locations at the construction site, if
applicable. If a construction dewatering discharge is occurring during the
inspection, observe and document the visual quality and the characteristics of
the discharge, including color; odor; floating, settled, or suspended solids;
foam; oil sheen; and other indicators of pollutants;
f. Inspect the following for installation in
accordance with the approved erosion and sediment control plan, identification
of any maintenance needs, and evaluation of effectiveness in minimizing
sediment discharge, including whether the control has been inappropriately or
incorrectly used:
(1) All perimeter erosion
and sediment controls, such as silt fence;
(2) Soil stockpiles, when applicable, and
borrow areas for stabilization or sediment trapping measures;
(3) Completed earthen structures, such as
dams, dikes, ditches, and diversions for stabilization and effective
impoundment or flow control;
(4)
Cut and fill slopes;
(5) Sediment
basins and traps, sediment barriers, and other measures installed to control
sediment discharge from stormwater;
(6) Temporary or permanent channels, flumes,
or other slope drain structures installed to convey concentrated runoff down
cut and fill slopes;
(7) Storm
inlets that have been made operational to ensure that sediment laden stormwater
does not enter without first being filtered or similarly treated; and
(8) Construction vehicle access routes that
intersect or access paved or public roads for minimizing sediment
tracking;
g. Inspect
areas that have reached final grade or that will remain dormant for more than
14 days to ensure:
(1) Initiation of
stabilization activities have occurred immediately, as defined in
9VAC25-880-1; and
(2) Stabilization activities have been
completed within seven days of reaching grade or stopping
work;
h. Inspect for
evidence that the approved erosion and sediment control plan, "agreement in
lieu of a plan," or erosion and sediment control plan prepared in accordance
with department-approved standards and specifications has not been properly
implemented. This includes:
(1) Concentrated
flows of stormwater in conveyances such as rills, rivulets, or channels that
have not been filtered, settled, or similarly treated prior to discharge, or
evidence thereof;
(2) Sediment
laden or turbid flows of stormwater that have not been filtered or settled to
remove sediments prior to discharge;
(3) Sediment deposition in areas that drain
to unprotected stormwater inlets or catch basins that discharge to surface
waters. Inlets and catch basins with failing sediment controls due to improper
installation, lack of maintenance, or inadequate design are considered
unprotected;
(4) Sediment
deposition on any property (including public and private streets) outside of
the construction activity covered by this general permit;
(5) Required stabilization has not been
initiated or completed or is not effective on portions of the construction
site;
(6) Sediment basins without
adequate wet or dry storage volume or sediment basins that allow the discharge
of stormwater from below the surface of the wet storage portion of the
basin;
(7) Sediment traps without
adequate wet or dry storage or sediment traps that allow the discharge of
stormwater from below the surface of the wet storage portion of the trap;
and
(8) Land disturbance or
sediment deposition outside of the approved area to be disturbed;
i. Inspect pollutant generating
activities identified in the pollution prevention plan for the proper
implementation, maintenance, and effectiveness of the procedures and
practices;
j. Identify and report
any pollutant generating activities not identified in the pollution prevention
plan; and
k. Identify and document
the presence of any evidence of the discharge of pollutants prohibited by this
general permit.
4.
Inspection report. Each inspection report shall include the following items:
a. The date and time of the inspection and,
when applicable, the date and rainfall or snowfall amount of the last
measurable storm event;
b.
Summarized findings of the inspection;
c. The locations, visual quality, and
characteristics of all stormwater discharges, when occurring;
d. The locations, visual quality, and
characteristics of all construction dewatering discharges, if
applicable;
e. The locations of
prohibited discharges;
f. The
locations of control measures that require routine maintenance;
g. The locations of control measures that
failed to operate as designed or proved inadequate or inappropriate for a
particular location;
h. The
locations where any evidence identified under Part II G 3 h exists;
i. The locations where any additional control
measure is needed;
j. A list of
corrective actions required (including any changes to the SWPPP that are
necessary) as a result of the inspection or to maintain permit
compliance;
k. Documentation of any
corrective actions required from a previous inspection that have not been
implemented;
l. Any incidents of
noncompliance. If none, the report shall contain a certification that the
construction activity is in compliance with the SWPPP and this general
permit;
m. The required
certification in accordance with Part III K 4 of this general permit;
and
n. The date and signature of
the qualified personnel and the operator or its duly authorized representative
in accordance with Part III K 2 of this general permit.
5. The inspection report shall be included
into the SWPPP no later than four business days after the inspection is
complete.
6. The inspection report
and any actions taken in accordance with Part II shall be retained by the
operator as part of the SWPPP for at least three years from the date that
general permit coverage expires or is terminated.
H. Corrective actions.
1. Except as required in Part II H 2, the
operator shall implement the corrective actions identified as a result of an
inspection as soon as practicable but no later than five business days after
discovery or a longer period as approved by the VESMP authority. If approval of
a corrective action by a regulatory authority (e.g., VESMP authority, VESCP
authority, or the department) is necessary, additional control measures shall
be implemented to minimize pollutants in stormwater discharges until such
approvals can be obtained.
2. When
any turbidity measurement of the construction dewatering discharge exceeds the
selected benchmark option or visual monitoring indicates a change in the
characteristics of effluent discharge, as outlined in Part II B 8, the operator
shall:
a. Immediately cease the construction
dewatering discharge at the location that exceeds the turbidity benchmark or
where visual monitoring indicates a change in the characterization of effluent
discharge;
b. Determine whether the
construction dewatering controls are operating effectively or need routine
maintenance or if an additional or alternate control measure is necessary;
and
c. Make any necessary
adjustments, additions, repairs, or replacements to the construction dewatering
controls.
Once these corrective action steps are completed and any
necessary adjustments, additions, repairs, or replacements are made, the
operator may resume its construction dewatering discharge and shall sample for
turbidity within 15 minutes of the construction dewatering discharge
commencing. No additional corrective action items are required beyond recording
the results in the SWPPP.
3.
The operator may be required to remove accumulated sediment
deposits located outside of the construction site covered by this general
permit as soon as practicable in order to minimize environmental
impacts.
4. The operator shall
notify the VESMP authority and the department as well as obtain all applicable
federal, state, and local authorizations, approvals, and permits prior to the
removal of sediments accumulated in surface waters including
wetlands.
Part
III
CONDITIONS APPLICABLE TO ALL VPDES PERMITS
Discharge monitoring is not required for this general
permit. If the operator chooses to monitor stormwater discharges or control
measures, the operator shall comply with the requirements of Part III A, B, and
C, as appropriate.
A. Monitoring.
1. Samples and measurements taken for the
purpose of monitoring shall be representative of the monitoring
activity.
2. Monitoring shall be
conducted according to procedures approved under 40 CFR Part 136 or alternative
methods approved by the U.S. Environmental Protection Agency, unless other
procedures have been specified in this general permit. Analyses performed
according to test procedures approved under 40 CFR Part 136 shall be performed
by an environmental laboratory certified under regulations adopted by the
Department of General Services (1VAC30-45 or 1VAC30-46).
3. The operator shall periodically calibrate
and perform maintenance procedures on all monitoring and analytical
instrumentation at intervals that will ensure accuracy of
measurements.
B. Records.
1. Monitoring records and reports shall
include:
a. The date, exact place, and time of
sampling or measurements;
b. The
individuals who performed the sampling or measurements;
c. The dates and times analyses were
performed;
d. The individuals who
performed the analyses;
e. The
analytical techniques or methods used; and
f. The results of such
analyses.
2. The operator
shall retain records of all monitoring information, including all calibration
and maintenance records and all original strip chart recordings for continuous
monitoring instrumentation, copies of all reports required by this general
permit, and records of all data used to complete the registration statement for
this general permit, for a period of at least three years from the date of the
sample, measurement, report, or request for coverage. This period of retention
shall be extended automatically during the course of any unresolved litigation
regarding the regulated activity or regarding control standards applicable to
the operator, or as requested by the department.
C. Reporting monitoring results.
1. The operator shall update the SWPPP to
include the results of the monitoring as may be performed in accordance with
this general permit, unless another reporting schedule is specified elsewhere
in this general permit.
2.
Monitoring results shall be reported on a discharge monitoring report (DMR); on
forms provided, approved, or specified by the department; or in any format
provided that the date, location, parameter, method, and result of the
monitoring activity are included.
3. If the operator monitors any pollutant
specifically addressed by this general permit more frequently than required by
this general permit using test procedures approved under 40 CFR Part 136 or
using other test procedures approved by the U.S. Environmental Protection
Agency or using procedures specified in this general permit, the results of
this monitoring shall be included in the calculation and reporting of the data
submitted in the DMR or reporting form specified by the department.
4. Calculations for all limitations that
require averaging of measurements shall utilize an arithmetic mean unless
otherwise specified in this general permit.
D. Duty to provide information. The operator
shall furnish, within a reasonable time, any information that the department
may request to determine whether cause exists for terminating this general
permit coverage or to determine compliance with this general permit. The
department, EPA, or VESMP authority may require the operator to furnish, upon
request, such plans, specifications, and other pertinent information as may be
necessary to determine the effect of the wastes from the operator's discharge
on the quality of surface waters, or such other information as may be necessary
to accomplish the purposes of the Clean Water Act and the Virginia Erosion and
Stormwater Management Act. The operator shall also furnish to the department,
EPA, or VESMP authority, upon request, copies of records required to be kept by
this general permit.
E. Compliance
schedule reports. Reports of compliance or noncompliance with, or any progress
reports on, interim and final requirements contained in any compliance schedule
of this general permit shall be submitted no later than 14 days following each
schedule date.
F. Unauthorized
stormwater discharges. Pursuant to §
62.1-44.5 of the Code of
Virginia, except in compliance with a permit issued by the department, it shall
be unlawful to cause a stormwater discharge from a construction
activity.
G. Reports of
unauthorized discharges. Any operator who discharges or causes or allows a
discharge of sewage, industrial waste, other wastes, any noxious or deleterious
substance, a hazardous substance, or oil in an amount equal to or in excess of
a reportable quantity established under either 40 CFR Part 110, 40 CFR Part
117, 40 CFR Part 302, or §
62.1-44.34:19 of the Code of
Virginia that occurs during a 24-hour period into or upon surface waters or
that discharges or causes or allows a discharge that may reasonably be expected
to enter surface waters shall notify the department and the VESMP authority of
the discharge immediately upon discovery of the discharge, but in no case later
than within 24 hours after said discovery. A written report of the unauthorized
discharge shall be submitted to the department and the VESMP authority within
five calendar days of discovery of the discharge. The written report shall
contain:
1. A description of the nature and
location of the discharge;
2. The
cause of the discharge;
3. The date
on which the discharge occurred;
4.
The length of time that the discharge continued;
5. The volume of the discharge;
6. If the discharge is continuing, how long
it is expected to continue;
7. If
the discharge is continuing, what the expected total volume of the discharge
will be; and
8. Any steps planned
or taken to reduce, eliminate, and prevent a recurrence of the present
discharge or any future discharges not authorized by this general permit.
Discharges reportable to the department and the VESMP
authority under the immediate reporting requirements of other regulations are
exempted from this requirement.
H. Reports of unusual or extraordinary
discharges. If any unusual or extraordinary discharge, including a "bypass" or
"upset," as defined in this general permit, should occur from a construction
site and the discharge enters or could be expected to enter surface waters, the
operator shall promptly notify, in no case later than within 24 hours, the
department and the VESMP authority after the discovery of the discharge. This
notification shall provide all available details of the incident, including any
adverse effects on aquatic life and the known number of fish killed. The
operator shall reduce the report to writing and shall submit it to the
department and the VESMP authority within five calendar days of discovery of
the discharge in accordance with Part III I 2. Unusual and extraordinary
discharges include any discharge resulting from:
1. Unusual spillage of materials resulting
directly or indirectly from processing operations;
2. Breakdown of processing or accessory
equipment;
3. Failure or taking out
of service of some or all of the facilities; and
4. Flooding or other acts of
nature.
I. Reports of
noncompliance. The operator shall report any noncompliance that may adversely
affect state waters or may endanger public health.
1. A report to the department and the VESMP
authority shall be provided within 24 hours from the time the operator becomes
aware of the circumstances. The following shall be included as information that
shall be reported within 24 hours under this subsection:
a. Any unanticipated bypass; and
b. Any upset that causes a discharge to
surface waters.
2. A
written report shall be submitted within five days and shall contain:
a. A description of the noncompliance and its
cause;
b. The period of
noncompliance, including exact dates and times, and if the noncompliance has
not been corrected, the anticipated time it is expected to continue;
and
c. Steps taken or planned to
reduce, eliminate, and prevent reoccurrence of the noncompliance.
The department may waive the written report on a case-by-case
basis for reports of noncompliance under Part III I if the oral report has been
received within 24 hours and no adverse impact on surface waters has been
reported.
3. The
operator shall report all instances of noncompliance not reported under Part
III I 1 or 2 in writing as part of the SWPPP. The reports shall contain the
information listed in Part III I 2.
4. The immediate (within 24 hours) reports
required in Part III G, H, and I may be made to the department and the VESMP
authority. Reports may be made by telephone, email, or online at
https://www.deq.virginia.gov/our-programs/pollution-response.
For reports outside normal working hours, leaving a recorded message shall
fulfill the immediate reporting requirement. For emergencies, the Virginia
Department of Emergency Management maintains a 24-hour telephone service at
1-800-468-8892.
5. Where the
operator becomes aware of a failure to submit any relevant facts, or submittal
of incorrect information in any report, including a registration statement, to
the department or the VESMP authority, the operator shall promptly submit such
facts or correct information.
J. Notice of planned changes.
1. The operator shall give notice to the
department and the VESMP authority as soon as possible of any planned physical
alterations or additions to the permitted facility or activity. Notice is
required only when:
a. The operator plans an
alteration or addition to any building, structure, facility, or installation
that may meet one of the criteria for determining whether a facility is a new
source in 9VAC25-875-990; or
b. The operator plans an alteration or
addition that would significantly change the nature or increase the quantity of
pollutants discharged. This notification applies to pollutants that are not
subject to effluent limitations in this general permit.
2. The operator shall give advance notice to
the department and VESMP authority of any planned changes in the permitted
facility or activity that may result in noncompliance with permit
requirements.
3. The operator may
continue construction activities based on the information provided in the
original registration statement and SWPPP but must wait until the review period
has ended before commencing or continuing construction activities on any
portion of the construction site that would be affected by any of the planned
changes or modifications. Any operator that chooses to proceed with unapproved
construction activities while plans are being reviewed is proceeding at its own
risk and subject to compliance actions if the plan is determined to be
inadequate.
K. Signatory
requirements.
1. Registration statement and
notice of termination. All registration statements and notices of termination
shall be signed as follows:
a. For a
corporation: by a responsible corporate officer. For the purpose of this
chapter, a responsible corporate officer means
(i) a president, secretary, treasurer, or
vice-president of the corporation in charge of a principal business function,
or any other person who performs similar policy-making or decision-making
functions for the corporation; or
(ii) the manager of one or more
manufacturing, production, or operating facilities, provided the manager is
authorized to make management decisions that govern the operation of the
regulated facility including having the explicit or implicit duty of making
major capital investment recommendations, and initiating and directing other
comprehensive measures to assure long-term compliance with environmental laws
and regulations; the manager can ensure that the necessary systems are
established or actions taken to gather complete and accurate information for
permit application requirements; and where authority to sign documents has been
assigned or delegated to the manager in accordance with corporate
procedures;
b. For a
partnership or sole proprietorship: by a general partner or the proprietor,
respectively; or
c. For a
municipality, state, federal, or other public agency: by either a principal
executive officer or ranking elected official. For purposes of this chapter, a
principal executive officer of a public agency includes (i) the chief executive
officer of the agency or (ii) a senior executive officer having responsibility
for the overall operations of a principal geographic unit of the
agency.
2. Reports and
other information. All reports required by this general permit, including
SWPPPs, and other information requested by the department shall be signed by a
person described in Part III K 1 or by a duly authorized representative of that
person. A person is a duly authorized representative only if:
a. The authorization is made in writing by a
person described in Part III K 1;
b. The authorization specifies either an
individual or a position having responsibility for the overall operation of the
regulated facility or activity, such as the position of plant manager, operator
of a well or a well field, superintendent, position of equivalent
responsibility, or an individual or position having overall responsibility for
environmental matters for the operator. (A duly authorized representative may
thus be either a named individual or any individual occupying a named
position); and
c. The signed and
dated written authorization is included in the SWPPP. A copy shall be provided
to the department and VESMP authority, if requested.
3. Changes to authorization. If an
authorization under Part III K 2 is no longer accurate because a different
individual or position has responsibility for the overall operation of the
construction activity, a new authorization satisfying the requirements of Part
III K 2 shall be submitted to the VESMP authority as the administering entity
for the department prior to or together with any reports or information to be
signed by an authorized representative.
4. Certification. Any person signing a
document under Part III K 1 or 2 shall make the following certification:
"I certify under penalty of law that I have read and
understand this document and that this document and all attachments were
prepared in accordance with a system designed to assure that qualified
personnel properly gathered and evaluated the information submitted. Based on
my inquiry of the person or persons who manage the system, 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."
L.
Duty to comply. The operator shall comply with all conditions of this general
permit. Any noncompliance with this general permit constitutes a violation of
the Virginia Erosion and Stormwater Management Act and the Clean Water Act,
except that noncompliance with certain provisions of this general permit may
constitute a violation of the Virginia Erosion and Stormwater Management Act
but not the Clean Water Act. Permit noncompliance is grounds for enforcement
action; for permit coverage, termination, revocation, and reissuance, or
modification of permit coverage; or denial of a permit renewal application.
The operator shall comply with effluent standards or
prohibitions established under § 307(a) of the Clean Water Act for toxic
pollutants within the time provided in the regulations that establish these
standards or prohibitions or standards for sewage sludge use or disposal, even
if this general permit has not yet been modified to incorporate the
requirement.
M. Duty to
reapply. If the operator wishes to continue an activity regulated by this
general permit after the expiration date of this general permit, the operator
shall submit a new registration statement at least 90 days before the
expiration date of the existing general permit, unless permission for a later
date has been granted by the department. The department shall not grant
permission for registration statements to be submitted later than the
expiration date of the existing general permit.
N. Effect of a permit. This general permit
neither conveys any property rights in either real or personal property or any
exclusive privileges nor authorizes any injury to private property or invasion
of personal rights, or any infringement of federal, state, or local law or
regulations.
O. State law. Nothing
in this general permit shall be construed to preclude the institution of any
legal action under or relieve the operator from any responsibilities,
liabilities, or penalties established pursuant to any other state law or
regulation or under authority preserved by § 510 of the Clean Water Act.
Except as provided in general permit conditions on bypassing under Part III U
and upset under Part III V, nothing in this general permit shall be construed
to relieve the operator from civil and criminal penalties for
noncompliance.
P. Oil and hazardous
substance liability. Nothing in this general permit shall be construed to
preclude the institution of any legal action or relieve the operator from any
responsibilities, liabilities, or penalties to which the operator is or may be
subject under §§
62.1-44.34:14 through
62.1-44.34:23 of the State Water
Control Law or § 311 of the Clean Water Act.
Q. Proper operation and maintenance. The
operator shall at all times properly operate and maintain all facilities and
systems of treatment and control (and related appurtenances), which are
installed or used by the operator to achieve compliance with the conditions of
this general permit. Proper operation and maintenance also includes effective
plant performance, adequate funding, adequate staffing, and adequate laboratory
and process controls, including appropriate quality assurance procedures. This
provision requires the operation of back-up or auxiliary facilities or similar
systems, which are installed by the operator only when the operation is
necessary to achieve compliance with the conditions of this general
permit.
R. Disposal of solids or
sludges. Solids, sludges, or other pollutants removed in the course of
treatment or management of pollutants shall be disposed of in a manner so as to
prevent any pollutant from such materials from entering surface waters and in
compliance with all applicable state and federal laws and
regulations.
S. Duty to mitigate.
The operator shall take all steps to minimize or prevent any discharge in
violation of this general permit that has a reasonable likelihood of adversely
affecting human health or the environment.
T. Need to halt or reduce activity not a
defense. It shall not be a defense for an operator in an enforcement action
that it would have been necessary to halt or reduce the permitted activity in
order to maintain compliance with the conditions of this general
permit.
U. Bypass.
1. "Bypass," as defined in
9VAC25-875-850, means the
intentional diversion of waste streams from any portion of a treatment
facility. The operator may allow any bypass to occur that does not cause
effluent limitations to be exceeded, but only if it also is for essential
maintenance to ensure efficient operation. These bypasses are not subject to
the provisions of Part III U 2 and U 3.
2. Notice.
a. Anticipated bypass. If the operator knows
in advance of the need for a bypass, the operator shall submit prior notice to
the department, if possible at least 10 days before the date of the
bypass.
b. Unanticipated bypass.
The operator shall submit notice of an unanticipated bypass as required in Part
III I.
3. Prohibition of
bypass.
a. Except as provided in Part III U 1,
bypass is prohibited, and the department may take enforcement action against an
operator for bypass unless:
(1) Bypass was
unavoidable to prevent loss of life, personal injury, or severe property
damage. Severe property damage means substantial physical damage to property,
damage to the treatment facilities that causes them to become inoperable, or
substantial and permanent loss of natural resources that can reasonably be
expected to occur in the absence of a bypass. Severe property damage does not
mean economic loss caused by delays in production;
(2) There were no feasible alternatives to
the bypass, such as the use of auxiliary treatment facilities, retention of
untreated wastes, or maintenance during normal periods of equipment downtime.
This condition is not satisfied if adequate back-up equipment should have been
installed in the exercise of reasonable engineering judgment to prevent a
bypass that occurred during normal periods of equipment downtime or preventive
maintenance; and
(3) The operator
submitted notices as required under Part III U 2.
b. The department may approve an anticipated
bypass, after considering its adverse effects, if the department determines
that it will meet the three conditions listed in Part III U 3 a.
V. Upset.
1. An "upset," as defined in
9VAC25-875-850, means an
exceptional incident in which there is unintentional and temporary
noncompliance with technology-based permit effluent limitations because of
factors beyond the reasonable control of the operator. An upset does not
include noncompliance to the extent caused by operational error, improperly
designed treatment facilities, inadequate treatment facilities, lack of
preventive maintenance, or careless or improper operation.
2. An upset constitutes an affirmative
defense to an action brought for noncompliance with technology-based permit
effluent limitations if the requirements of Part III V 3 are met. A
determination made during administrative review of claims that noncompliance
was caused by upset, and before an action for noncompliance, is not a final
administrative action subject to judicial review.
3. An operator who wishes to establish the
affirmative defense of upset shall demonstrate, through properly signed,
contemporaneous operating logs or other relevant evidence that:
a. An upset occurred and that the operator
can identify the cause of the upset;
b. The permitted facility was at the time
being properly operated;
c. The
operator submitted notice of the upset as required in Part III I; and
d. The operator complied with any remedial
measures required under Part III S.
4. In any enforcement proceeding, the
operator seeking to establish the occurrence of an upset has the burden of
proof.
W. Inspection and
entry. The operator shall allow the department, the VESMP authority, EPA, or an
authorized representative of either entity (including an authorized
contractor), upon presentation of credentials and other documents as may be
required by law, to:
1. Enter upon the
operator's premises where a regulated facility or activity is located or
conducted or where records shall be kept under the conditions of this general
permit;
2. Have access to and copy,
at reasonable times, any records that shall be kept under the conditions of
this general permit;
3. Inspect and
photograph at reasonable times any facilities, equipment (including monitoring
and control equipment), practices, or operations regulated or required under
this general permit; and
4. Sample
or monitor at reasonable times, for the purposes of ensuring permit compliance
or as otherwise authorized by the Clean Water Act or the Virginia Erosion and
Stormwater Management Act, any substances or parameters at any location.
For purposes of this section, the time for inspection shall
be deemed reasonable during regular business hours and whenever the facility is
discharging. Nothing contained in this general permit shall make an inspection
unreasonable during an emergency.
X. Permit actions. Permit coverage may be
modified, revoked and reissued, or terminated for cause. The filing of a
request by the operator for a permit modification, revocation and reissuance,
or termination, or a notification of planned changes or anticipated
noncompliance does not stay any permit condition.
Y. Transfer of permit coverage.
1. Permits are not transferable to any person
except after notice to the department. Except as provided in Part III Y 2, a
permit may be transferred by the operator to a new operator only if the permit
has been modified or revoked and reissued, or a minor modification made, to
identify the new operator and incorporate such other requirements as may be
necessary under the Virginia Erosion and Stormwater Management Act and the
Clean Water Act.
2. As an
alternative to transfers under Part III Y 1, this permit may be automatically
transferred to a new operator if:
a. The
current operator notifies the department at least 30 days in advance of the
proposed transfer of the title to the facility or property;
b. The notice includes a written agreement
between the existing and new operators containing a specific date for transfer
of permit responsibility, coverage, and liability between them; and
c. The department does not notify the
existing operator and the proposed new operator of its intent to modify or
revoke and reissue the permit. If this notice is not received, the transfer is
effective on the date specified in the agreement mentioned in Part III Y 2
b.
3. For ongoing
construction activity involving a change of operator, the new operator shall
accept and maintain the existing SWPPP, or prepare and implement a new SWPPP
prior to taking over operations at the construction site.
Z. Severability. The provisions of this
general permit are severable, and if any provision of this general permit or
the application of any provision of this permit to any circumstance, is held
invalid, the application of such provision to other circumstances and the
remainder of this general permit shall not be affected thereby.
Statutory Authority: §
62.1-44.15:25 of the Code of
Virginia.