E.
Minimum control measures.
1. Public education
and outreach.
a. The permittee shall
implement a public education and outreach program designed to:
(1) Increase the public's knowledge of how to
reduce stormwater pollution, placing priority on reducing impacts to impaired
waters and other local water pollution concerns;
(2) Increase the public's knowledge of
hazards associated with illegal discharges and improper disposal of waste,
including pertinent legal implications; and
(3) Implement a diverse program with
strategies that are targeted toward individuals or groups most likely to have
significant stormwater impacts.
b. The permittee shall identify no fewer than
three high-priority stormwater issues to meet the goal of educating the public
in accordance with Part I E 1 a. High-priority issues may include the following
examples: Chesapeake Bay nutrients, pet wastes, local receiving water
impairments, TMDLs, high-quality receiving waters, litter control, BMP
maintenance, anti-icing and deicing agent application, planned green
infrastructure redevelopment, planned ecosystem restoration projects, and
illicit discharges from commercial sites.
c. The high-priority public education and
outreach program, as a whole, shall:
(1)
Clearly identify the high-priority stormwater issues;
(2) Explain the importance of the
high-priority stormwater issues;
(3) Include measures or actions the public
can take to minimize the impact of the high-priority stormwater issues;
and
(4) Provide a contact and
telephone number, website, or location where the public can find out more
information.
d. The
permittee shall use two or more of the strategies listed in Table 1 per year to
communicate to the target audience the high-priority stormwater issues
identified in accordance with Part I E 1 b, including how to reduce stormwater
pollution.
Table 1
Strategies for Public Education and
Outreach |
Strategies |
Examples (provided as examples and are
not meant to be all inclusive or limiting) |
Traditional written materials |
Informational brochures, newsletters, fact sheets,
utility bill inserts, or recreational guides for targeted groups of
citizens |
Alternative materials |
Bumper stickers, refrigerator magnets, t-shirts, or
drink koozies |
Signage |
Temporary or permanent signage in public places or
facilities, vehicle signage, billboards, or storm drain stenciling |
Media materials |
Information disseminated through electronic media,
radio, televisions, movie theater, newspaper, or GIS story maps |
Speaking engagements |
Presentations to school, church, industry, trade,
special interest, or community groups |
Curriculum materials |
Materials developed for school-aged children,
students at local colleges or universities, or extension classes offered to
local citizens |
Training materials |
Materials developed to disseminate during workshops
offered to local citizens, trade organization, or industrial officials
|
Public education activities |
Booth at community fair, demonstration of stormwater
control projects, presentation of stormwater materials to schools to meet
applicable education Standards of Learning or curriculum requirements, or
watershed walks |
Public meetings |
Public meetings on proposed community stormwater
management retrofits, green infrastructure redevelopment, ecosystem restoration
projects, TMDL development, climate change's effects on stormwater management,
voluntary residential low impact development, or other stormwater issues
|
e.
The permittee may coordinate its public education and outreach efforts with
other MS4 permittees; however, each permittee shall be individually responsible
for meeting all of its state permit requirements.
f. The MS4 program plan shall include:
(1) A list of the high-priority stormwater
issues the permittee will communicate to the public as part of the public
education and outreach program;
(2)
The rationale for selection of each high-priority stormwater issue and an
explanation of how each education or outreach strategy is intended to have a
positive impact on stormwater discharges;
(3) Identification of the target audience to
receive each high-priority stormwater message;
(4) Nontraditional permittees may identify
staff, students, members of the general public, and other users of facilities
operated by the permittee as the target audience for education and outreach
strategies;
(5) Traditional
permittees may identify staff and students as part of the target audience for
education and outreach strategies; however, staff shall not be the majority of
the target audience;
(6) Staff
training required in accordance with Part I E 6 d does not qualify as a
strategy for public education and outreach;
(7) The strategies from Table 1 of Part I E 1
d to be used to communicate each high-priority stormwater message;
and
(8) The anticipated time
periods the messages will be communicated or made available to the
public.
g. The annual
report shall include the following information:
(1) A list of the high-priority stormwater
issues the permittee addressed in the public education and outreach
program;
(2) A summary of the
public education and outreach activities conducted for the report year,
including the strategies used to communicate the identified high-priority
issues;
(3) A description of any
changes in high-priority stormwater issues, including, strategies used to
communicate high-priority stormwater issues or target audiences for the public
education and outreach plan. The permittee shall provide a rationale for any of
these changes; and
(4) A
description of public education and outreach activities conducted that included
education regarding climate change.
2. Public involvement and participation.
a. The permittee shall develop and implement
procedures for the following:
(1) The public
to report potential illicit discharges, improper disposal, or spills to the
MS4, complaints regarding land-disturbing activities, or other potential
stormwater pollution concerns;
(2)
The public to provide comments on the permittee's MS4 program plan;
(3) Responding to public comments received on
the MS4 program plan; and
(4)
Maintaining documentation of public comments received on the MS4 program and
associated MS4 program plan and the permittee's response.
b. No later than three months after this
permit's effective date, the existing permittee shall update and maintain the
webpage dedicated to the MS4 program and stormwater pollution prevention. The
following information shall be posted on this webpage:
(1) The effective MS4 permit and coverage
letter;
(2) The most current MS4
program plan or location where the MS4 program plan can be obtained;
(3) The annual report for each year of the
term covered by this permit no later than 30 days after submittal to the
department;
(4) For permittees
whose regulated MS4 is located partially or entirely in the Chesapeake Bay
watershed, the most current Chesapeake Bay TMDL action plan or location where
the Chesapeake Bay TMDL action plan can be obtained;
(5) For permittees whose regulated MS4 is
located partially or entirely in the Chesapeake Bay watershed, the Chesapeake
Bay TMDL implementation annual status reports for each year of the term covered
by this permit no later than 30 days after submittal to the
department;
(6) A mechanism for the
public to report potential illicit discharges, improper disposal, or spills to
the MS4, complaints regarding land-disturbing activities, or other potential
stormwater pollution concerns in accordance with Part I E 2 a (1);
(7) Methods for how the public can provide
comments on the permittee's MS4 program plan in accordance with Part I E 2 a
(2) and if applicable, the Chesapeake Bay TMDL action plan in accordance with
Part II A 13; and
(8) Federal and
state nontraditional permittees with security policies preventing a MS4 program
and stormwater pollution prevention webpage from being publicly accessible may
utilize an internal staff accessible webpage such as an intranet webpage to
meet the requirements of Part 1 E 2 b.
c. Traditional permittees shall implement no
fewer than four activities per year from two or more of the categories listed
in Table 2 to provide an opportunity for public involvement to improve water
quality and support local restoration and clean-up projects.
d. Nontraditional permittees shall implement,
promote, participate in, or coordinate on no fewer than four activities per
year from two or more of the categories listed in Table 2 to provide an
opportunity for public involvement to improve water quality and support local
restoration and clean-up projects.
Table 2
Public Involvement
Opportunities |
Public involvement
opportunities |
Examples (provided as example and are
not meant to be all inclusive or limiting) |
Monitoring |
Establish or support citizen monitoring group
|
Restoration |
Stream, watershed, shoreline, beach, or park clean-up
day, adopt-a-waterway program, tree plantings, and riparian buffer
plantings |
Public education activities |
Booth at community fair, demonstration of stormwater
control projects, climate change's effects on stormwater management,
presentation of stormwater materials to schools to meet applicable education
Standards of Learning or curriculum requirements, or watershed walks
|
Public meetings |
Public meetings on proposed community stormwater
management retrofits, green infrastructure redevelopment, ecosystem restoration
projects, TMDL development, voluntary residential low impact development,
climate change's effects on stormwater management, or other stormwater
issues |
Disposal or collection events |
Household hazardous chemicals collection, vehicle
fluids collection |
Pollution prevention |
Adopt-a-storm drain program, implement a storm drain
marking program, promote use of residential stormwater BMPs, implement pet
waste stations in public areas, adopt-a-street program. |
e.
The permittee may coordinate the public involvement opportunities listed in
Table 2 with other MS4 permittees; however, each permittee shall be
individually responsible for meeting all of the permit requirements.
f. The permittee may include staff and
students in public participation events; however, the activity cannot solely
include or be limited to staff participants with stormwater, groundskeeping,
and maintenance duties in order for an event to qualify as a public
participation event.
g. Staff
training required in accordance with Part I E 6 d does not qualify as a public
participation event unless the training activity solicits participation from
target audiences beyond staff or contractors with stormwater, groundskeeping,
and maintenance duties.
h. The MS4
program plan shall include:
(1) The webpage
address where mechanisms for the public to report (i) potential illicit
discharges, improper disposal, or spills to the MS4, (ii) complaints regarding
land-disturbing activities, or (iii) other potential stormwater pollution
concerns;
(2) The webpage address
that contains the methods for how the public can provide input on the
permittee's MS4 program; and
(3) A
description of the public involvement activities to be implemented by the
permittee, the anticipated time period the activities will occur, and a metric
for each activity to determine if the activity is beneficial to water quality.
An example of metrics may include the weight of trash collected from a stream
cleanup or the number of participants in a hazardous waste collection
event.
i. The annual
report shall include the following information:
(1) A summary of any public comments on the
MS4 program received and how the permittee responded;
(2) A summary of stormwater pollution
complaints received under the procedures established in Part I E 2 a (1),
excluding natural flooding complaints, and how the permittee
responded;
(3) A webpage address to
the permittee's MS4 program and stormwater website;
(4) Federal and state nontraditional
permittees with security policies preventing the MS4 program and stormwater
pollution prevention webpage from being publicly accessible utilizing an
internal staff accessible website, such as intranet, shall provide evidence of
the current internal MS4 program and stormwater pollution prevention
webpage;
(5) A description of the
public involvement activities implemented by the permittee, including any
efforts to reach out and engage all economic and ethnic groups;
(6) A description of public education and
outreach activities conducted that also included education regarding climate
change;
(7) A report of the metric
as defined for each activity and an evaluation as to whether or not the
activity is beneficial to improving water quality; and
(8) The name of other MS4 permittees with
whom the permittee collaborated in the public involvement
opportunities.
3. Illicit discharge detection and
elimination.
a. The permittee shall develop
and maintain an accurate MS4 map and information table as follows:
(1) An updated map of the MS4 owned or
operated by the permittee within the MS4 regulated service area no later than
24 months after the permit effective date that includes, at a minimum:
(a) MS4 outfalls discharging to surface
waters, except as follows:
(i) In cases where
the outfall is located outside of the MS4 permittee's legal responsibility, the
permittee may elect to map the known point of discharge location closest to the
actual outfall; and
(ii) In cases
where the MS4 outfall discharges to receiving water channelized underground,
the permittee may elect to map the point downstream at which the receiving
water emerges above ground as an outfall discharge location. If there are
multiple outfalls discharging to an underground channelized receiving water,
the map shall identify that an outfall discharge location represents more than
one outfall. This is an option a permittee may choose to use and recognizes the
difficulties in accessing outfalls to underground channelized stream
conveyances for purposes of mapping, screening, or monitoring;
(b) A unique identifier for each
mapped item required in Part I E 3;
(c) The name and location of receiving waters
to which the MS4 outfall or point of discharge discharges;
(d) MS4 regulated service area; and
(e) Stormwater management facilities owned or
operated by the permittee.
(2) The permittee shall maintain an outfall
information table associated with the MS4 map that includes the following
information for each outfall or point of discharge for those cases in which the
permittee elects to map the known point of discharge in accordance with Part I
E 3 a (1) (a). The outfall information table may be maintained as a shapefile
attribute table. The outfall information table shall contain the following:
(a) A unique identifier as specified on the
MS4 map;
(b) The latitude and
longitude of the outfall or point of discharge;
(c) The estimated regulated acreage draining
to the outfall or point of discharge;
(d) The name of the receiving
water;
(e) The 6th Order Hydrologic
Unit Code of the receiving water;
(f) An indication as to whether the receiving
water is listed as impaired in the Virginia 2022 305(b)/303(d) Water Quality
Assessment Integrated Report; and
(g) The name of any EPA approved TMDLs for
which the permittee is assigned a wasteload allocation.
(3) No later than 24 months after permit
issuance, the permittee shall submit to DEQ, a format file geodatabase or two
shapefiles that contain at a minimum:
(a) A
point feature class or shapefile for outfalls with an attribute table
containing outfall data elements required in accordance with Part I E 3 a(2);
and
(b) A polygon feature class or
shapefile for the MS4 service area as required in accordance with Part I E 3 a
(1)(d) with an attribute table containing the following information:
(i) MS4 operator name;
(ii) MS4 permit number (VAR04); and
(iii) MS4 service area total acreage rounded
to the nearest hundredth.
(4) All file geodatabase feature classes or
shapefiles shall be submitted in the following data format standards:
(a) Point data in NAD83 or WGS84 decimal
degrees global positional system coordinates;
(b) Data projected in Virginia Lambert
Conformal Conic format;
(c) Outfall
location accuracy shall be represented in decimal degrees rounded to at least
the fifth decimal place for latitude and longitude to ensure point location
accuracy (e.g., 37.61741, -78.15279); and
(d) Metadata that shall provide a description
of each feature class or shapefile dataset, units of measure as applicable,
coordinate system, and projection.
(5) No later than October 1 of each year, the
permittee shall update the MS4 map and outfall information table to include any
new outfalls constructed or TMDLs approved or both during the immediate
preceding reporting period.
(6) The
permittee shall provide written notification to any downstream adjacent MS4 of
any known physical interconnection established or discovered after the
effective date of this permit.
b. The permittee shall prohibit, through
ordinance, policy, standard operating procedures, or other legal mechanism, to
the extent allowable under federal, state, or local law, regulations, or
ordinances, unauthorized nonstormwater discharges into the MS4. Nonstormwater
discharges or flows identified in
9VAC25-890-20 D 3 shall only be
addressed if they are identified by the permittee as a significant contributor
of pollutants discharging to the MS4. Flows that have been identified by the
department as de minimis discharges are not significant sources of pollutants
to surface water.
c. The permittee
shall maintain, implement, and enforce illicit discharge detection and
elimination (IDDE) written procedures designed to detect, identify, and address
unauthorized nonstormwater discharges, including illegal dumping, to the MS4 to
effectively eliminate the unauthorized discharge. Written procedures shall
include:
(1) A description of the legal
authorities, policies, standard operating procedures, or other legal mechanisms
available to the permittee to eliminate identified sources of ongoing illicit
discharges, including procedures for using legal enforcement
authorities.
(2) Dry weather field
screening protocols to detect, identify, and eliminate illicit discharges to
the MS4. The protocol shall include:
(a) A
prioritized schedule of field screening activities and rationale for
prioritization determined by the permittee based on such criteria as age of the
infrastructure, land use, historical illegal discharges, dumping, or cross
connections;
(b) If the total
number of MS4 outfalls is equal to or less than 50, a schedule to screen all
outfalls annually;
(c) If the total
number of MS4 outfalls is greater than 50, a schedule to screen a minimum of 50
outfalls annually such that no more than 50% are screened in the previous
12-month period. The 50% criteria is not applicable if all outfalls have been
screened in the previous three years;
(d) The permittee may adopt a risk-based
approach to dry weather screening identifying observation points based upon
illicit discharge risks upstream of an outfall. Observation points may include
points of interconnection, manholes, points of discharge, conveyances, or
inlets suspected to have a high likelihood of receiving illicit
discharges;
(e) Each observation
point screened may be counted as one outfall screening activity equivalent and
counted towards the requirements of Part I E 3 c (2)(b) or (2)(c); however, at
least 50% of the minimum annual screening events must include outfall
screening;
(f) Illicit discharges
reported by the public and subsequent investigations may not be counted as
screening events; however once the resolution of the investigation and the date
the investigation was closed has been documented, an observation point may be
established for future screening events; and
(g) A checklist or mechanism to track the
following information for dry weather screening events:
(i) The unique identifier for the outfall or
observation point;
(ii) Time since
the last precipitation event;
(iii)
The estimated quantity of the last precipitation event;
(iv) Site descriptions (e.g., conveyance type
and dominant watershed land uses);
(v) Observed indicators of possible illicit
discharge events, such as floatables, deposits, stains, and vegetative
conditions (e.g., dying or dead vegetation, excessive vegetative
growth);
(vi) Whether or not a
discharge was observed;
(vii) If a
discharge was observed, the estimated discharge rate and visual characteristics
of the discharge (e.g., odor, color, clarity) and the physical condition of the
outfall; and
(viii) For observation
points, the location, downstream outfall unique identifier, and risk factors or
rationale for establishing the observation point.
(3) A timeframe upon which to
conduct an investigation to identify and locate the source of any observed
unauthorized nonstormwater discharge. Priority of investigations shall be given
to discharges of sanitary sewage and those believed to be a risk to human
health and public safety. Discharges authorized under a separate VPDES or state
permit require no further action under this permit.
(4) Methodologies to determine the source of
all illicit discharges. If the permittee is unable to identify the source of an
illicit discharge within six months of beginning the investigation, then the
permittee shall document that the source remains unidentified. If the observed
discharge is intermittent, the permittee shall document that attempts to
observe the discharge flowing were unsuccessful.
(5) Methodologies for conducting a follow-up
investigation for illicit discharges that are continuous or that permittees
expect to occur more frequently than a one-time discharge to verify that the
discharge has been eliminated except as provided for in Part I E 3 c
(4);
(6) A mechanism to track all
illicit discharge investigations to document the following:
(a) The dates that the illicit discharge was
initially observed, reported, or both;
(b) The results of the investigation,
including the source, if identified;
(c) Any follow-up to the
investigation;
(d) Resolution of
the investigation; and
(e) The date
that the investigation was closed.
d. The MS4 program plan shall include:
(1) The MS4 map and outfall information table
required by Part I E 3 a. The map and outfall information table may be
incorporated into the MS4 program plan by reference. The map shall be made
available to the department within 14 days upon request;
(2) Copies of written notifications of
physical interconnections given by the permittee to other MS4s; and
(3) The IDDE procedures described in Part I E
3 c.
e. The annual report
shall include:
(1) A confirmation statement
that the MS4 map and outfall information table have been updated to reflect any
changes to the MS4 occurring on or before June 30 of the reporting
year;
(2) The total number of
outfalls and observation points screened during the reporting period as part of
the dry weather screening program; and
(3) A list of illicit discharges to the MS4,
including spills reaching the MS4 with information as follows:
(a) The location and source of illicit
discharge;
(b) The dates that the
discharge was observed, reported, or both;
(c) Whether the discharge was discovered by
the permittee during dry weather screening, reported by the public, or other
method (describe);
(d) How the
investigation was resolved;
(e) A
description of any follow-up activities; and
(f) The date the investigation was
closed.
4. Construction site stormwater runoff and
erosion and sediment control.
a. The permittee
shall utilize its legal authority, such as ordinances, permits, orders,
specific contract language, and interjurisdictional agreements, to address
discharges entering the MS4 from regulated construction site stormwater runoff.
The permittee shall control construction site stormwater runoff as follows:
(1) If the traditional permittee is a city,
county, or town that has adopted a Virginia Erosion and Stormwater Management
Program (VESMP), the permittee shall implement the VESMP consistent with the
Virginia Erosion and Stormwater Management Act (§
62.1-44.15:24 et seq. of the
Code of Virginia) and Virginia Erosion and Stormwater Management Regulation
(9VAC25-875);
(2) If the
traditional permittee is a town that is required to adopt and administer a
VESMP, the town may, pursuant to §
62.1-44.15:27C
of the Code of Virginia, enter into an agreement with the county the town lies
within to become subject to the county's VESMP. If a town lies within the
boundaries of more than one county, it may enter into an agreement with any of
those counties that operates a VESMP. Implementation of a VESMP, consistent
with the Virginia Erosion and Stormwater Management Act and Virginia Erosion
and Stormwater Management Regulation by the county shall constitute compliance
with Part I E 4 a; such town shall notify the county of erosion, sedimentation,
or other construction stormwater runoff problems;
(3) If the nontraditional permittee is a
state agency; public institution of higher education, including community
colleges, colleges, and universities; or federal entity and has developed
standards and specifications in accordance with the Virginia Erosion and
Stormwater Management Act and Virginia Erosion and Stormwater Management
Regulation, the permittee shall implement the most recent department approved
standards and specifications; or
(4) If the nontraditional permittee is a
state agency; public institution of higher education, including community
colleges, colleges, and universities; or federal entity and has not developed
standards and specifications in accordance with the Virginia Erosion and
Stormwater Management Act and Virginia Erosion and Stormwater Management
Regulation, the permittee shall inspect all land-disturbing activities as
defined in §
62.1-44.15:24 of the Code of
Virginia that result in the disturbance of 10,000 square feet or greater, or
2,500 square feet or greater in accordance with areas designated under the
Chesapeake Bay Preservation Act, as follows:
(a) During or immediately following initial
installation of erosion and sediment controls;
(b) At least once per every two-week
period;
(c) Within 48 hours
following any runoff producing storm event; and
(d) At the completion of the project prior to
the release of any performance bond.
(5) If the nontraditional permittee is a
school board or other local government body, the permittee shall inspect those
projects resulting in a land disturbance as defined in §
62.1-44.15:24 of the Code of
Virginia occurring on lands owned or operated by the permittee that result in
the disturbance of 10,000 square feet or greater, 2,500 square feet or greater
in accordance with areas designated under the Chesapeake Bay Preservation Act,
or in accordance with more stringent thresholds established by the local
government, as follows:
(a) During or
immediately following initial installation of erosion and sediment
controls;
(b) At least once per
every two-week period;
(c) Within
48 hours following any runoff producing storm event; and
(d) At the completion of the project prior to
the release of any performance bond.
b. The permittee shall require implementation
of appropriate controls to prevent nonstormwater discharges to the MS4, such as
wastewater, concrete washout, fuels and oils, and other illicit discharges
identified during land-disturbing activity inspections. The discharge of
nonstormwater discharges other than those identified in
9VAC25-890-20 D through the MS4 is
not authorized by this state permit.
c. Employees and contractors serving as plan
reviewers, inspectors, program administrators, and construction site operators
shall obtain the appropriate certifications as required under the Virginia
Erosion and Stormwater Management Act and its attendant regulations;
d. The permittee's MS4 program plan shall
include:
(1) If the permittee implements a
VESMP for construction site stormwater runoff in accordance with Part I E 4
a(1), the local ordinance citations for the VESMP;
(2) If the permittee is a town that does not
implement an erosion and stormwater management program for construction site
stormwater runoff in accordance with Part I E 4 a(2), the county ordinance
citations for the VESMP program the town is subject to;
(3) If the permittee implements standards and
specifications for erosion and sediment control and construction site
stormwater runoff in accordance with Part I E 4 a(3):
(a) The most recently approved standards and
specifications or if incorporated by reference, the location where the
standards and specifications can be viewed; and
(b) A copy of the most recent standards and
specifications approval letter from the department;
(4) A description of the legal authorities
utilized to ensure compliance with Part I E 4 a for erosion and sediment
control and construction site stormwater runoff control, such as ordinances,
permits, orders, specific contract language, policies, and interjurisdictional
agreements;
(5) For traditional
permittees, written inspection procedures to ensure construction site
stormwater runoff and erosion and sediment control requirements are maintained
in accordance with
9VAC25-875-190 and onsite erosion
and sediment controls are properly implemented in accordance with
9VAC25-875-140;
(6) For nontraditional permittees, erosion
and sediment control plans or standards and specifications shall be approved by
the department in accordance with §
62.1-44.15:34 or
62.1-44.15:31, respectively, of
the Code of Virginia. Compliance with approved erosion and sediment control
plans or standards and specifications shall be ensured by the permittee with
written inspection procedures that at minimum include the following:
(a) An inspection checklist for documenting
onsite erosion and sediment control structures and systems are properly
maintained and repaired as needed to ensure continued performance of their
intended function; and
(b) A list
of all associated documents utilized for inspections, including checklists,
department approved erosion and sediment control plans, or the most recently
department approved standards and specifications, and any other documents
utilized;
(7) Traditional
permittees shall maintain written procedures for requiring compliance through
corrective action or enforcement action in accordance with the State Water
Control Law (§
62.1-44.2 et seq. of the Code of
Virginia);
(8) Nontraditional
permittees shall maintain written procedures for requiring compliance with
department approved erosion and sediment control plans and standards and
specifications through corrective action or enforcement action to the extent
allowable under federal, state, or local law, regulation, ordinance, or other
legal mechanisms; and
(9) The roles
and responsibilities of each of the permittee's departments, divisions, or
subdivisions in implementing erosion and sediment control and construction site
stormwater runoff control requirements in Part I E 4.
e. The annual report shall include the
following:
(1) Total number of erosion and
sediment control inspections conducted;
(2) Total number of each type of compliance
action and enforcement action implemented; and
(3) For nontraditional permittees:
(a) A confirmation statement that
land-disturbing projects that occurred during the reporting period have been
conducted in accordance with the current department approved standards and
specifications for erosion and sediment control; and
(b) If any land-disturbing projects were
conducted without department approved standards and specifications, a list of
all land-disturbing projects that occurred during the reporting period with
erosion and sediment control plan approval dates for each project.
5.
Post-construction stormwater management for new development and development on
prior developed lands.
a. The permittee shall
address post-construction stormwater runoff that enters the MS4 from the
following land-disturbing activities by implementing a post-construction
stormwater runoff management program as follows:
(1) If the traditional permittee is a city,
county, or town, with an approved Virginia Erosion and Stormwater Management
Program (VESMP), the permittee shall implement the VESMP consistent with the
Virginia Erosion and Stormwater Management Act and Virginia Erosion and
Stormwater Management Regulation as well as maintain an inspection and
maintenance program in accordance with Part I E 5 b and c;
(2) If the traditional permittee is a town
that has not adopted a VESMP, entering into an agreement for the implementation
of a VESMP consistent with the Virginia Erosion and Stormwater Management Act
and Virginia Erosion and Stormwater Management Regulation by the surrounding
county shall constitute compliance with Part I E 5 a; such town shall notify
the surrounding county of erosion, sedimentation, or other post-construction
stormwater runoff problems and maintain an inspection and maintenance program
in accordance with Part I E 5 c and d;
(3) If the traditional permittee is a city,
county, or town receiving initial permit coverage during the permit term and
must obtain VESMP approval from the department, the permittee shall implement
the VESMP consistent with the Virginia Erosion and Stormwater Management Act
and Virginia Erosion and Stormwater Management Regulation as well as develop an
inspection and maintenance program in accordance with Part I E 5 b and c no
later than 60 months after receiving permit coverage;
(4) If the nontraditional permittee is a
state agency; public institution of higher education, including community
colleges, colleges, and universities; or federal entity and has developed
standards and specifications in accordance with the Virginia Erosion and
Stormwater Management Act and Virginia Erosion and Stormwater Management
Regulation, the permittee shall implement the most recent department approved
standards and specifications and maintain an inspection and maintenance program
in accordance with Part I E 5 b;
(5) If the nontraditional permittee is a
state agency; public institution of higher education, including community
colleges, colleges, and universities; or federal entity, and has not developed
standards and specifications in accordance with the Virginia Erosion and
Stormwater Management Act (§
62.1-44.15:24 et seq. of the
Code of Virginia) and Virginia Erosion and Stormwater Management Regulation,
the permittee shall implement a post-construction stormwater runoff control
program through compliance with 9VAC25-875 and with the implementation of a
maintenance and inspection program consistent with Part I E 5 b no later than
60 months after receiving permit coverage; or
(6) If the nontraditional permittee is a
school board or other local government body, the permittee shall implement a
post-construction stormwater runoff control program through compliance with
9VAC25-875 or in accordance with more stringent local requirements, if
applicable, and with the implementation of a maintenance and inspection program
consistent with Part I E 5 b.
b. The permittee shall implement an
inspection and maintenance program for those stormwater management facilities
owned or operated by the permittee as follows:
(1) Within six months of the permit effective
date, the permittee shall develop and maintain written inspection and
maintenance procedures in order to ensure adequate long-term operation and
maintenance of its stormwater management facilities. The permittee may use
inspection and maintenance specifications available from the Virginia
Stormwater BMP Clearinghouse or inspection and maintenance plans developed in
accordance with the department's Stormwater Local Assistance Fund (SLAF)
guidelines;
(2) Employees and
contractors implementing the stormwater program shall obtain the appropriate
certifications as required under the Virginia Erosion and Stormwater Management
Act and its attendant regulations;
(3) The permittee shall inspect stormwater
management facilities owned or operated by the permittee no less frequently
than once per year. The permittee may choose to implement an alternative
schedule to inspect these stormwater management facilities based on facility
type and expected maintenance needs provided that the alternative schedule and
rationale is included in the MS4 program plan. The alternative inspection
frequency shall be no less often than once per five years; and
(4) If during the inspection of the
stormwater management facility conducted in accordance with Part I E 5 b(2), it
is determined that maintenance is required, the permittee shall conduct the
maintenance in accordance with the written procedures developed under Part I E
5 b(1).
c. For
traditional permittees described in Part I E 5 a (1), (2), or (3), the
permittee shall:
(1) Implement an inspection
and enforcement program for stormwater management facilities not owned by the
permittee (i.e., privately owned) that includes:
(a) An inspection frequency of no less often
than once per five years for all privately owned stormwater management
facilities that discharge into the MS4; and
(b) Adequate long-term operation and
maintenance by the owner of the stormwater management facility by requiring the
owner to develop and record a maintenance agreement, including an inspection
schedule to the extent allowable under state or local law or other legal
mechanism;
(2) Utilize
its legal authority for enforcement of the maintenance responsibilities in
accordance with
9VAC25-875-535 if maintenance is
neglected by the owner;
(3) The
permittee may develop and implement a progressive compliance and enforcement
strategy provided that the strategy is included in the MS4 program
plan;
(4) The permittee may utilize
the inspection reports provided by the owner of a stormwater management
facility as part of an inspection and enforcement program in accordance with
9VAC25-875-140
D.
d. The MS4 program
plan shall include:
(1) If the permittee
implements a VESMP in accordance with Part I E 5 a (1), (2), or (3):
(a) A copy of the VESMP approval letter
issued by the department;
(b)
Written inspection procedures and all associated documents utilized in the
inspection of privately owned stormwater management facilities; and
(c) Written procedures for compliance and
enforcement of inspection and maintenance requirements for privately owned
stormwater management facilities;
(2) If the permittee implements a
post-development stormwater runoff control program in accordance with Part I E
5 a (4):
(a) The most recently approved
standards and specifications or if incorporated by reference, the location
where the standards and specifications can be viewed; and
(b) A copy of the most recent standards and
specifications approval letter from the department;
(3) A description of the legal authorities
utilized to ensure compliance with Part I E 5 a for post-construction
stormwater runoff control such as ordinances (provide citation as appropriate),
permits, orders, specific contract language, and interjurisdictional
agreements;
(4) Written inspection
and maintenance procedures and other associated template documents utilized
during inspection and maintenance of stormwater management facilities owned or
operated by the permittee; and
(5)
The roles and responsibilities of each of the permittee's departments,
divisions, or subdivisions in implementing the post-construction stormwater
runoff control program.
e. The annual report shall include the
following information:
(1) If the traditional
permittee implements a VESMP in accordance with Part I E 5 a (1), (2), or (3):
(a) The number of privately owned stormwater
management facility inspections conducted; and
(b) The number of enforcement actions
initiated by the permittee to ensure long-term maintenance of privately owned
stormwater management facilities including the type of enforcement
action;
(2) Total number
of inspections conducted on stormwater management facilities owned or operated
by the permittee;
(3) A description
of the significant maintenance, repair, or retrofit activities performed on the
stormwater management facilities owned or operated by the permittee to ensure
it continues to perform as designed. This does not include routine activities
such as grass mowing or trash collection;
(4) For traditional permittees as specified
in Part I E 5 a (1), a confirmation statement that the permittee submitted
stormwater management facility information through the Virginia Construction
Stormwater General Permit database for those land-disturbing activities for
which the permittee was required to obtain coverage under the General VPDES
Permit for Discharges of Stormwater from Construction Activities in accordance
with Part III B 1 or a statement that the permittee did not complete any
projects requiring coverage under the General VPDES Permit for Discharges of
Stormwater from Construction Activities (9VAC25-880);
(5) A confirmation statement that the
permittee electronically reported stormwater management facilities using the
DEQ BMP Warehouse in accordance with Part III B 1 and 2; and
(6) A confirmation statement that the
permittee electronically reported stormwater management facilities inspected
using the DEQ BMP Warehouse in accordance with Part III B 5.
6. Pollution prevention
and good housekeeping for facilities owned or operated by the permittee within
the MS4 service area.
a. The permittee shall
maintain and implement written good housekeeping procedures for those
activities listed in Part I E 6 b at facilities owned or operated by the
permittee designed to meet the following objectives:
(1) Prevent illicit discharges;
(2) Ensure permittee staff or contractors
properly dispose of waste materials, including landscape wastes and prevent
waste materials from entering the MS4;
(3) Prevent the discharge of wastewater or
wash water not authorized in accordance with
9VAC25-890-20 D 3 u, into the MS4
without authorization under a separate VPDES permit; and
(4) Minimize the pollutants in stormwater
runoff.
b. The permittee
shall develop and implement written good housekeeping procedures that meet the
objectives established in Part I E 6 a for the following activities:
(1) Road, street, sidewalk, and parking lot
maintenance and cleaning:
(a) Within 24 months
of permit issuance, permittees that apply anti-icing and deicing agents shall
update and implement procedures in accordance with Part I E to include
implementation of best management practices for anti-icing and deicing agent
application, transport, and storage;
(b) Procedures developed in accordance with
Part I E shall prohibit the application of any anti-icing or deicing agent
containing urea or other forms of nitrogen or phosphorus;
(2) Renovation and significant exterior
maintenance activities (e.g., painting, roof resealing, and HVAC coil cleaning)
not covered under a separate VPDES construction general permit. The permittee
shall develop and implement procedures no later than 36 months after permit
issuance;
(3) Discharging water
pumped from construction and maintenance activities not covered by another
permit covering such activities;
(4) Temporary storage of landscaping
materials;
(5) Maintenance of
permittee owned or operated vehicles and equipment (i.e., prevent pollutant
discharges from leaking permittee vehicles and equipment);
(6) Application of materials, including
pesticides and herbicides shall not exceed manufacturer's recommendations;
and
(7) Application of fertilizer
shall not exceed maximum application rates established by applicable nutrient
management plans. For areas not covered under nutrient management plans where
fertilizer is applied, application rates shall not exceed manufacturer's
recommendations.
c. The
permittee shall require through the use of contract language, training, written
procedures, or other measures within the permittee's legal authority that
contractors employed by the permittee and engaging in activities described in
Part I E 6 b follow established good housekeeping procedures and use
appropriate control measures to minimize the discharge of pollutants to the
MS4.
d. The written procedures
established in accordance with Part I E 6 a and b shall be utilized as part of
the employee training program, and the permittee shall develop a written
training plan for applicable field personnel that ensures the following:
(1) Applicable field personnel shall receive
training in the prevention, recognition, and elimination of illicit discharges
no less often than once per 24 months;
(2) Employees performing road, street,
sidewalk, and parking lot maintenance shall receive training in good
housekeeping procedures required under Part I E 6 b (1) no less often than once
per 24 months;
(3) Employees
working in and around facility maintenance, public works, or recreational
facilities shall receive training in applicable Part I E 6 a and b good
housekeeping procedures required no less often than once per 24
months;
(4) Employees working in
and around high-priority facilities with a stormwater pollution prevention plan
(SWPPP) shall receive training in applicable site specific SWPPP procedures no
less often than once per 24 months;
(5) Employees whose duties include emergency
spill control and response shall be trained in spill control and response.
Emergency responders, such as firefighters and law-enforcement officers,
trained on the handling of spill control and response as part of a larger
emergency response training shall satisfy this training requirement and be
documented in the training plan; and
(6) Employees and contractors hired by the
permittee who apply pesticides and herbicides shall be trained and certified in
accordance with the Virginia Pesticide Control Act (§
3.2-3900 et seq. of the Code of
Virginia). Certification by the Virginia Department of Agriculture and Consumer
Services (VDACS) Pesticide and Herbicide Applicator program shall constitute
compliance with this requirement. Contracts for the application of pesticide
and herbicides executed after the effective date of this permit shall require
contractor certification.
e. The permittee shall maintain documentation
of each training activity conducted by the permittee to fulfill the
requirements of Part I E 6 d for a minimum of three years after training
activity completion. The documentation shall include the following information:
(1) The date when applicable employees have
completed the training activity;
(2) The number of employees who have
completed the training activity; and
(3) The training objectives and good
housekeeping procedures required under Part I E 6 a covered by training
activity.
f. The
permittee may fulfill the training requirements in Part I E 6 d, in total or in
part, through regional training programs involving two or more MS4 permittees;
however, the permittee shall remain responsible for ensuring compliance with
the training requirements.
g.
Within 12 months of permit coverage, the permittee shall identify any new
high-priority facilities located in expanded 2020 census urban areas with a
population of at least 50,000.
h.
Within 36 months of permit coverage, the permittee shall implement SWPPPs for
high-priority facilities meeting the conditions of Part I E 6 i and which are
located in expanded 2020 census urban areas with a population of at least
50,000.
i. The permittee shall
maintain and implement a site specific SWPPP for each high-priority facility as
defined in 9VAC25-890-1 that does not have or
require separate VPDES permit coverage, and which any of the following
materials or activities occur and are expected to have exposure to stormwater
resulting from rain, snow, snowmelt, or runoff:
(1) Areas where residuals from using,
storing, or cleaning machinery or equipment remain and are exposed to
stormwater;
(2) Materials or
residuals on the ground or in stormwater inlets from spills or leaks;
(3) Material handling equipment;
(4) Materials or products that would be
expected to be mobilized in stormwater runoff during loading or unloading or
transporting activities (e.g., rock, salt, fill dirt);
(5) Materials or products stored outdoors
(except final products intended for outside use where exposure to stormwater
does not result in the discharge of pollutants);
(6) Materials or products that would be
expected to be mobilized in stormwater runoff contained in open, deteriorated,
or leaking storage drums, barrels, tanks, and similar containers;
(7) Waste material except waste in covered,
nonleaking containers (e.g., dumpsters);
(8) Application or disposal of process
wastewater (unless otherwise permitted); or
(9) Particulate matter or visible deposits of
residuals from roof stacks, vents, or both not otherwise regulated (i.e., under
an air quality control permit) and evident in the stormwater runoff.
j. Each SWPPP as required in Part
I E 6 g shall include the following:
(1) A
site description that includes a site map identifying all outfalls, direction
of stormwater flows, existing source controls, and receiving water
bodies;
(2) A description and
checklist of the potential pollutants and pollutant sources;
(3) A description of all potential
nonstormwater discharges;
(4) A
description of all structural control measures, such as stormwater management
facilities and other pollutant source controls, applicable to SWPPP
implementation (e.g., permeable pavement or oil-water separators that discharge
to sanitary sewer are not applicable to the SWPPP), such as oil-water
separators, and inlet protection designed to address potential pollutants and
pollutant sources at risk of being discharged to the MS4;
(5) A maintenance schedule for all stormwater
management facilities and other pollutant source controls applicable to SWPPP
implementation described in Part I E 6 h (4);
(6) Site specific written procedures designed
to reduce and prevent pollutant discharge that incorporate by reference
applicable good housekeeping procedures required under Part I E 6 a and
b;
(7) A description of the
applicable training as required in Part I E 6 d (4);
(8) An inspection frequency of no less often
than once per year and maintenance requirements for site specific source
controls. The date of each inspection and associated findings and follow-up
shall be logged in each SWPPP;
(9)
A log of each unauthorized discharge, release, or spill incident reported in
accordance with Part IV G including the following information:
(a) Date of incident;
(b) Material discharged, released, or
spilled; and
(c) Estimated quantity
discharged, released, or spilled;
(10) A log of modifications to the SWPPP made
as the result of any unauthorized discharge, release, or spill in accordance
Part I E 6 j or changes in facility activities and operation requiring SWPPP
modification; and
(11) The point of
contact for SWPPP implementation.
k. No later than June 30 of each year, the
permittee shall annually review any high-priority facility owned or operated by
the permittee for which an SWPPP has not been developed to determine if the
facility meets any of the conditions described in Part I E 6 g. If the facility
is determined to need an SWPPP, the permittee shall develop an SWPPP meeting
the requirements of Part I E 6 h no later than December 31 of that same year.
The permittee shall maintain a list of all high-priority facilities owned or
operated by the permittee not required to maintain an SWPPP in accordance with
Part I E 6 g and this list shall be available upon request.
l. The permittee shall review the contents of
any site specific SWPPP no later than 30 days after any unauthorized discharge,
release, or spill reported in accordance with Part IV G to determine if
additional measures are necessary to prevent future unauthorized discharges,
releases, or spills. If necessary, the SWPPP shall be updated no later than 90
days after the unauthorized discharge.
m. The SWPPP shall be kept at the
high-priority facility and utilized as part of employee SWPPP training required
in Part I E 6 d (4). The SWPPP and associated documents may be maintained as a
hard copy or electronically as long as the documents are available to employees
at the applicable site.
n. If
activities change at a facility such that the facility no longer meets the
definition of a high-priority facility, the permittee may remove the facility
from the list of high-priority facilities with a high potential to discharge
pollutants.
o. If activities change
at a facility such that the facility no longer meets the criteria requiring
SWPPP coverage as described in Part I E 6 g, the permittee may remove the
facility from the list of high-priority facilities that require SWPPP
coverage.
p. The permittee shall
maintain and implement turf and landscape nutrient management plans that have
been developed by a certified turf and landscape nutrient management planner in
accordance with §
10.1-104.2 of the Code of
Virginia on all lands owned or operated by the permittee where nutrients are
applied to a contiguous area greater than one acre. If nutrients are being
applied to achieve final stabilization of a land-disturbance project,
application shall follow the manufacturer's recommendations.
q. Within 12 months of permit coverage, the
permittee shall identify contiguous areas greater than one acre located in
expanded 2020 census urban areas with population of at least 50,000 and within
the permittee's MS4 service area requiring turf and landscape nutrient
management plans.
r. Within 36
months of permit coverage, the permittee shall implement turf and landscape
nutrient management plans on contiguous areas greater than one acre located in
expanded 2020 census urban areas with a population of least 50,000 and within
the permittee's MS4 service area.
s. If nutrients are being applied to achieve
final stabilization of a land-disturbance project, application shall follow the
manufacturer's recommendations. For newly established turf where nutrients are
applied to a contiguous area greater than one acre, the permittee shall
implement a nutrient management plan no later than six months after the site
achieves final stabilization.
t.
Nutrient management plans developed in accordance with Part I E 6 n shall be
submitted to the Department of Conservation and Recreation (DCR) for
approval.
u. Nutrient management
plans that are expired as of the effective date of this permit shall be
submitted to DCR for renewal within six months after the effective date of this
permit. Thereafter, all nutrient management plans shall be submitted to DCR at
least 30 days prior to nutrient management plan expiration. Within 36 months of
permit coverage, no nutrient management plans maintained by the permittee in
accordance with Part I E 6 n shall be expired due to DCR documented
noncompliance with
4VAC50-85-130 provided to the
permittee.
v. Nutrient management
plans may be maintained as a hard copy or electronically as long as the
documents are available to employees at the applicable site.
w. Nontraditional permittees with lands
regulated under §
10.1-104.4 of the Code of
Virginia, including state agencies, state colleges and universities, and other
state government entities, shall continue to implement turf and landscape
nutrient management plans in accordance with this statutory
requirement.
x. The MS4 program
plan shall include:
(1) A list of written
good housekeeping procedures for the operations and maintenance activities as
required by Part I E 6 a and b;
(2)
A list of all high-priority facilities owned or operated by the permittee
required to maintain an SWPPP in accordance with Part I E 6 g that includes the
facility name, facility location, and the location of the SWPPP hardcopy or
electronic document being maintained. The SWPPP for each high-priority facility
shall be incorporated by reference;
(3) A list of locations for which turf and
landscape nutrient management plans are required in accordance with Part I E 6
n and s, including the following information:
(a) The total acreage covered by each
nutrient management plan;
(b) The
DCR approval date and expiration date for each nutrient management
plan;
(c) The location of the
nutrient management plan hardcopy or electronic document being
maintained;
(4) A summary
of mechanisms the permittee uses to ensure contractors working on behalf of the
permittees implement the necessary good housekeeping and pollution prevention
procedures, and stormwater pollution plans as appropriate; and
(5) The written training plan as required in
Part I E 6 d.
y. The
annual report shall include the following:
(1)
A summary of any written procedures developed or modified in accordance with
Part I E 6 a and b during the reporting period;
(2) A confirmation statement that all
high-priority facilities were reviewed to determine if SWPPP coverage is needed
during the reporting period;
(3) A
list of any new SWPPPs developed in accordance Part I E 6 i during the
reporting period;
(4) A summary of
any SWPPPs modified in accordance with Part I E 6 j, 6 l, or 6 m;
(5) The rationale of any high-priority
facilities delisted in accordance with Part I E 6 l or m during the reporting
period;
(6) The status of each
nutrient management plan as of June 30 of the reporting year (e.g., approved,
submitted and pending approval, and expired);
(7) A list of the training activities
conducted in accordance with Part I E 6 d, including the following information:
(a) The completion date for the training
activity;
(b) The number of
employees who completed the training activity; and
(c) The objectives and good housekeeping
procedures covered by the training
activity.