Current through Register Vol. 41, No. 3, September 23, 2024
A. The
department shall furnish application forms to applicants. Completion of these
forms serves as initial registration of new and reconstructed
sources.
B. Each application for a
permit shall include such information as may be required by the department to
determine compliance with the MACT emission limitation established under this
article. The information required shall include, but is not limited to, the
following:
1. Company name and address (or
plant name and address if different from the company name), owner's name and
agent, and telephone number and names of plant site manager or contact or
both.
2. A brief description of the
major source, including a description of the source's processes and products
(by Standard Industrial Classification Code), to be constructed or
reconstructed and identification of any listed source category or categories in
which it is included.
3. All
emissions of hazardous air pollutants.
a. A
permit application shall describe all emissions of hazardous air pollutants
emitted from any emissions unit to be covered by the permit.
b. Emissions shall be calculated as required
in the permit application form or instructions.
c. Fugitive emissions shall be included in
the permit application to the extent quantifiable.
4. The hazardous air pollutants emitted by
the constructed or reconstructed major source and the estimated emission rate
for each such hazardous air pollutant. Emissions rates shall be expressed in
tons per year and in such other terms as are necessary to establish compliance
consistent with the applicable standard reference test method.
5. The maximum and expected utilization of
capacity of the constructed or reconstructed major source and the associated
uncontrolled emission rates for that source.
6. The controlled emissions for the
constructed or reconstructed major source in tons per year at expected and
maximum utilization of capacity.
7.
Information needed to determine or regulate emissions as follows: fuels, fuel
use, raw materials, production rates, loading rates, and operating
schedules.
8. Limitations on source
operation affecting emissions or any work practice standards, where applicable,
for all hazardous air pollutants at the source.
9. Calculations on which the information in
subdivisions 3 through 8 of this subsection is based. Any calculations shall
include sufficient detail to permit assessment of the validity of such
calculations.
10. Any federally
enforceable emission limitations applicable to the constructed or reconstructed
major source.
11. The expected
commencement date for the construction or reconstruction of the major
source.
12. The expected completion
date for construction or reconstruction of the major source.
13. The anticipated date of startup for the
constructed or reconstructed major source.
14. Any additional information or
documentation that the department deems necessary to review and analyze the air
pollution aspects of the stationary source or emissions unit.
C. In each instance where a
stationary source would require additional control technology or a change in
control technology to be in compliance with the MACT emission limitation
established under this article, the application shall contain the following
information:
1. Information described in
subsection B of this section.
2.
The control technology selected by the owner and compliance monitoring devices
or activities that, if properly operated and maintained, will meet the MACT
emission limitation or standard as determined according to the principles set
forth in
9VAC5-80-1420
F.
3. A recommended emission
limitation for the constructed or reconstructed major source consistent with
the principles set forth in
9VAC5-80-1420
F.
4. The selected control
technology to meet the recommended MACT emission limitation, including
technical information on the design, operation, size, estimated control
efficiency of the control technology (and the manufacturer's name, address,
telephone number, and relevant specifications and drawings, if requested by the
department).
5. Supporting
documentation including identification of alternative control technologies
considered by the applicant to meet the emission limitation, and analysis of
cost and non-air quality health and environmental impacts or energy
requirements for the selected control technology.
6. Any other relevant information required
pursuant to Subpart A of 40 CFR Part 63.
D. In each instance where the owner contends
that a stationary source will be in compliance, upon startup, with the MACT
emission limitation established under this article without a change in control
technology, the application shall contain:
1.
Information described in subsections B and C of this section; and
2. Documentation of the control technology in
place.
E. The above
information and analysis shall be determined and presented according to
procedures and using methods acceptable to the department.
Statutory Authority: § 10.1-1308 of the Code of
Virginia.