PERMANENT RULES
CLEAN AIR AGENCY
Purpose: Article 3, to adjust the maximum Civil Penalty amount for inflation; and to update the Federal Regulation Reference Date; Article 11, to repeal Ambient Air Quality Standards; Article 12, to delete "control officer" and remove reference language in the Continuous Emission Monitoring Systems rules; and Article 13, to adopt by reference chapter 173-433 WAC, Solid fuel burning devices.
Citation of Existing Rules Affected by this Order: Repealing Regulation I, Sections 11.01, 11.02, 13.02, 13.03, 13.04, and 13.05; and amending Regulation I, Sections 3.11, 3.25, 12.03, and recodified Section 13.07 as Section 13.03.
Statutory Authority for Adoption: Chapter 70.94 RCW.
Adopted under notice filed as WSR 04-17-080 on August 16, 2004.
Number of Sections Adopted in Order to Comply with Federal Statute: New 0, Amended 0, Repealed 0; Federal Rules or Standards: New 0, Amended 0, Repealed 0; or Recently Enacted State Statutes: New 0, Amended 0, Repealed 0.
Number of Sections Adopted at Request of a Nongovernmental Entity: New 0, Amended 0, Repealed 0.
Number of Sections Adopted on the Agency's Own Initiative: New 0, Amended 0, Repealed 0.
Number of Sections Adopted in Order to Clarify, Streamline, or Reform Agency Procedures: New 0, Amended 0, Repealed 0.
Number of Sections Adopted Using Negotiated Rule Making: New 0, Amended 0, Repealed 0; Pilot Rule Making: New 0, Amended 0, Repealed 0; or Other Alternative Rule Making: New 0, Amended 0, Repealed 0.
Date Adopted: September 23, 2004.
James Nolan
Director - Compliance
AMENDATORY SECTION
REGULATION I SECTION 3.11 CIVIL PENALTIES
(a) Any person who violates any of the provisions of
((C))chapter 70.94 RCW or any of the rules or regulations in
force pursuant thereto, may incur a civil penalty in an amount
not to exceed (($14,243.00)) $14,300.00 per day for each
violation.
(b) Any person who fails to take action as specified by
an order issued pursuant to ((C))chapter 70.94 RCW or
Regulations I, II, and III of the Puget Sound Clean Air Agency
shall be liable for a civil penalty of not more than
(($14,243.00)) $14,300.00 for each day of continued
noncompliance.
(c) Within ((15)) 30 days after receipt of a Notice and
Order of Civil Penalty, the person incurring the penalty may
apply in writing to the Control Officer for the remission or
mitigation of the penalty. Any such request must contain the
following:
(1) The name, mailing address, telephone number, and
telefacsimile number (if available) of the ((appealing)) party
requesting mitigation;
(2) A copy of the Notice and Order of Civil Penalty
((appealed from)) involved;
(3) A short and plain statement showing the grounds upon
which the ((appealing)) party requesting mitigation considers
such order to be unjust or unlawful;
(4) A clear and concise statement of facts upon which the
((appealing)) party requesting mitigation relies to sustain
his or her grounds for ((appeal)) mitigation;
(5) The relief sought, including the specific nature and extent; and
(6) A statement that the ((appealing)) party requesting
mitigation has read the ((notice of appeal)) mitigation
request and believes the contents to be true, followed by the
party's signature.
Upon receipt of the application, the Control Officer shall remit or mitigate the penalty only upon a demonstration by the requestor of extraordinary circumstances such as the presence of information or factors not considered in setting the original penalty.
(d) Any civil penalty may also be appealed to the
Pollution Control Hearings Board pursuant to ((C))chapter
43.21B RCW and ((C))chapter 371-08 WAC if the appeal is filed
with the Hearings Board and served on the Agency within 30
days after receipt by the person penalized of the notice
imposing the penalty or 30 days after receipt of the notice of
disposition on the application for relief from penalty.
(e) A civil penalty shall become due and payable on the later of:
(1) 30 days after receipt of the notice imposing the penalty;
(2) 30 days after receipt of the notice of disposition on application for relief from penalty, if such application is made; or
(3) 30 days after receipt of the notice of decision of the Hearings Board if the penalty is appealed.
(f) If the amount of the civil penalty is not paid to the Agency within 30 days after it becomes due and payable, the Agency may bring action to recover the penalty in King County Superior Court or in the superior court of any county in which the violator does business. In these actions, the procedures and rules of evidence shall be the same as in an ordinary civil action.
(g) Civil penalties incurred but not paid shall accrue interest beginning on the 91st day following the date that the penalty becomes due and payable, at the highest rate allowed by RCW 19.52.020 on the date that the penalty becomes due and payable. If violations or penalties are appealed, interest shall not begin to accrue until the 31st day following final resolution of the appeal.
(h) To secure the penalty incurred under this section, the Agency shall have a lien on any vessel used or operated in violation of Regulations I, II, and III which shall be enforced as provided in RCW 60.36.050.
AMENDATORY SECTION
REGULATION I SECTION 3.25 FEDERAL REGULATION REFERENCE DATE
Whenever federal regulations are referenced in Regulation
I, II, or III, the effective date shall be July 1, ((2003))
2004.
REPEALER
REGULATION I SECTION 11.01 AMBIENT AIR QUALITY STANDARDS
REPEALER
REGULATION I SECTION 11.02 AMBIENT AIR MONITORING
AMENDATORY SECTION
REGULATION I SECTION 12.03 CONTINUOUS EMISSION MONITORING
SYSTEMS
(a) Continuous Monitoring. It shall be unlawful for any person to cause or allow the operation of any equipment required to have a continuous emission monitoring system unless the emissions are continuously monitored in accordance with the requirements of this section.
(b) Data Recovery. The owner or operator shall recover
valid hourly monitoring data for at least 95% of the hours
that the equipment (required to be monitored) is operated
during each calendar month except for((:))
(((1) P))periods of monitoring system downtime, provided
that the owner or operator demonstrates ((to the Control
Officer)) that the downtime was not a result of inadequate
design, operation, or maintenance, or any other reasonably
preventable condition, and any necessary repairs to the
monitoring system are conducted in a timely manner((;)) and.
(((2) Periods authorized under Section 3.03 or Article 6
of this regulation.))
(c) Quality Assurance. The owner or operator shall
install a continuous emission monitoring system that meets the
performance specification in 40 CFR Part 60, Appendix B in
effect at the time of its installation, and shall operate this
monitoring system in accordance with the quality assurance
procedures in Appendix F of 40 CFR Part 60 in effect ((July 1,
1997)) as of the federal regulation reference date listed in
Section 3.25 of this regulation herein incorporated by
reference, and the U.S. Environmental Protection Agency's
"Recommended Quality Assurance Procedures for Opacity
Continuous Monitoring Systems" (EPA 340/1-86-010).
(d) Data Recording. Monitoring data commencing on the clock hour and containing at least 45 minutes of monitoring data shall be reduced to 1-hour averages. Monitoring data for opacity shall also be reduced to 6-minute averages. All monitoring data shall be included in these averages except for data collected during calibration drift tests and cylinder gas audits, and for data collected subsequent to a failed quality assurance test or audit.
(e) Data Retention. The owner or operator shall retain all monitoring data averages for at least 2 years, including copies of all reports submitted to the Agency and records of all repairs, adjustments, and maintenance performed on the monitoring system. All such data collected after October 1, 1998 shall be retained for at least 5 years.
(f) Data Reporting. The owner or operator shall submit a monthly report to the Agency within 30 days after the end of the month in which the data were recorded. This report shall include:
(1) The date, time period, magnitude (in the units of the standard) and cause of each emission that exceeded an applicable emission standard;
(2) The date and time of all actions taken to correct the problem, including any actions taken to minimize the emissions during the exceedance and any actions taken to prevent its recurrence;
(3) The number of hours that the equipment (required to be monitored) operated each month and the number of valid hours of monitoring data that the monitoring system recovered each month;
(4) The date, time period, and cause of each failure to meet the data recovery requirements of Section 12.03(b) and any actions taken to ensure adequate collection of such data;
(5) The date, time period, and cause of each failure to recover valid hourly monitoring data for at least 90% of the hours that the equipment (required to be monitored) was operated each day;
(6) The results of all cylinder gas audits conducted during the month; and
(7) A certification of truth, accuracy, and completeness signed by an authorized representative of the owner or operator.
(g) Relative Accuracy Tests. All relative accuracy tests shall be subject to the provisions of Section 3.07 of this regulation.
(h) Exemptions. The data recording and reporting requirements of Sections 12.03(d) and 12.03(f) shall not apply to continuous VOC monitoring systems required under Section 2.05 of Regulation II. Further, relative accuracy tests shall not be required of these monitoring systems and may be waived for any other monitoring system not otherwise subject to 40 CFR Part 60, Appendix F, provided that the owner or operator demonstrates to the Control Officer that the emissions are consistently below 10% of the applicable emission standard.
REPEALER
REGULATION I SECTION 13.02 DEFINITIONS
REPEALER
REGULATION I SECTION 13.03 OPACITY STANDARDS
REPEALER
REGULATION I SECTION 13.04 PROHIBITED FUEL TYPES
REPEALER
REGULATION I SECTION 13.05 CURTAILMENT
NEW SECTION
REGULATION I SECTION 13.02 GENERAL CONDITIONS FOR SOLID FUEL
BURNING DEVICES
In addition to the provisions of this regulation, the Agency adopts by reference and enforces the following provisions for solid fuel burning devices established by the Washington State Department of Ecology:
WAC 173-433-030 | Definitions. (effective 4/20/91) |
WAC 173-433-110 | Opacity standards. (effective 3/6/93) |
WAC 173-433-120 | Prohibited fuel types. (effective 4/20/91) |
WAC 173-433-130 | General emission standards. (effective 4/20/91) |
WAC 173-433-140 (1)(b), (2), (3), and (4) |
Impaired air quality criteria. (effective 4/20/91) |
First Stage of Impaired Air Quality has the meaning contained in RCW 70.94.473(b) | |
WAC 173-433-150 | Curtailment. (effective 4/20/91) |
AMENDATORY SECTION
REGULATION I SECTION ((13.07)) 13.03 CONTINGENCY PLAN
The following provision is established for the sole
purpose of a contingency measure to meet the requirements of
Section 172 (c)(9) of the federal Clean Air Act. If the U.S.
Environmental Protection Agency makes written findings that:
(1) an area has failed to attain or maintain the national
ambient air quality standard, and (2) in consultation with the
Washington Department of Ecology and the Agency, finds that
the emissions from solid fuel burning devices are a
contributing factor to such failure to attain or maintain the
standard, the use of woodstoves not meeting the standards set
forth in RCW 70.94.457 shall be prohibited within the area
determined by the Agency to have contributed to the violation.
This provision shall take effect one year after such a
determination.