Sen. David Koehler

Filed: 5/16/2018

 

 


 

 


 
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1
AMENDMENT TO HOUSE BILL 3342

2    AMENDMENT NO. ______. Amend House Bill 3342 by replacing
3everything after the enacting clause with the following:
 
4    "Section 5. The Environmental Protection Act is amended by
5changing Sections 21.1, 22.51, 22.51a, 30, 31, 31.1, 39, and 42
6and by adding Section 58.19 as follows:
 
7    (415 ILCS 5/21.1)  (from Ch. 111 1/2, par. 1021.1)
8    Sec. 21.1. (a) Except as provided in subsection (a.5), no
9person other than the State of Illinois, its agencies and
10institutions, or a unit of local government shall own or
11operate a MSWLF unit or other waste disposal operation on or
12after March 1, 1985, which requires a permit under subsection
13(d) of Section 21 of this Act, unless such person has posted
14with the Agency a performance bond or other security for the
15purpose of insuring closure of the site and post-closure care
16in accordance with this Act and regulations adopted thereunder.

 

 

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1    (a.5) On and after the effective date established by the
2United States Environmental Protection Agency for MSWLF units
3to provide financial assurance under Subtitle D of the Resource
4Conservation and Recovery Act, no person, other than the State
5of Illinois, its agencies and institutions, shall own or
6operate a MSWLF unit that requires a permit under subsection
7(d) of Section 21 of this Act, unless that person has posted
8with the Agency a performance bond or other security for the
9purposes of:
10        (1) insuring closure of the site and post-closure care
11    in accordance with this Act and its rules; and
12        (2) insuring completion of a corrective action remedy
13    when required by Board rules adopted under Section 22.40 of
14    this Act or when required by Section 22.41 of this Act.
15    The performance bond or other security requirement set
16forth in this Section may be fulfilled by closure or
17post-closure insurance, or both, issued by an insurer licensed
18to transact the business of insurance by the Department of
19Insurance or at a minimum the insurer must be licensed to
20transact the business of insurance or approved to provide
21insurance as an excess or surplus lines insurer by the
22insurance department in one or more states.
23    (b) On or before January 1, 1985, the Board shall adopt
24regulations to promote the purposes of this Section. Without
25limiting the generality of this authority, such regulations
26may, among other things, prescribe the type and amount of the

 

 

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1performance bonds or other securities required under
2subsections (a) and (a.5) of this Section, and the conditions
3under which the State is entitled to collect monies from such
4performance bonds or other securities. The bond amount shall be
5directly related to the design and volume of the site. The cost
6estimate for the post-closure care of a MSWLF unit shall be
7calculated using a 30 year post-closure care period or such
8other period as may be approved by the Agency under Board or
9federal rules. On and after the effective date established by
10the United States Environmental Protection Agency for MSWLF
11units to provide financial assurance under Subtitle D of the
12Resource Conservation and Recovery Act, closure, post-closure
13care, and corrective action cost estimates for MSWLF units
14shall be in current dollars.
15    (c) There is hereby created within the State Treasury a
16special fund to be known as the "Landfill Closure and
17Post-Closure Fund". Any monies forfeited to the State of
18Illinois from any performance bond or other security required
19under this Section or under Section 22.51 shall be placed in
20the "Landfill Closure and Post-Closure Fund" and shall, upon
21approval by the Governor and the Director, be used by and under
22the direction of the Agency for the purposes for which such
23performance bond or other security was issued. The Landfill
24Closure and Post-Closure Fund is not subject to the provisions
25of subsection (c) of Section 5 of the State Finance Act.
26    (d) The Agency is authorized to enter into such contracts

 

 

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1and agreements as it may deem necessary to carry out the
2purposes of this Section. Neither the State, nor the Director,
3nor any State employee shall be liable for any damages or
4injuries arising out of or resulting from any action taken
5under this Section.
6    (e) The Agency shall have the authority to approve or
7disapprove any performance bond or other security posted
8pursuant to subsection (a) or (a.5) of this Section. Any person
9whose performance bond or other security is disapproved by the
10Agency may contest the disapproval as a permit denial appeal
11pursuant to Section 40 of this Act.
12    (f) The Agency may establish such procedures as it may deem
13necessary for the purpose of implementing and executing its
14responsibilities under this Section.
15    (g) Nothing in this Section shall bar a cause of action by
16the State for any other penalty or relief provided by this Act
17or any other law.
18(Source: P.A. 97-887, eff. 8-2-12.)
 
19    (415 ILCS 5/22.51)
20    Sec. 22.51. Clean Construction or Demolition Debris Fill
21Operations.
22    (a) As used in this Section:
23        "Clean construction or demolition debris" has the
24    meaning provided in Section 3.160 of this Act.
25        "Clean construction or demolition debris fill

 

 

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1    operation" means a current or former quarry, mine, or other
2    excavation where clean construction or demolition debris
3    is used as fill material.
4        "Operator" means a person responsible for the
5    operation and maintenance of a clean construction or
6    demolition debris fill operation.
7        "Owner" means a person who has any direct or indirect
8    interest in a clean construction or demolition debris fill
9    operation or in land on which a person operates and
10    maintains a clean construction or demolition debris fill
11    operation. A "direct or indirect interest" does not include
12    the ownership of publicly traded stock. The "owner" is the
13    "operator" if there is no other person who is operating and
14    maintaining a clean construction or demolition debris fill
15    operation.
16        "Uncontaminated soil" has the meaning provided in
17    Section 3.160 of this Act.
18    (a-5) No person shall:
19        (1) conduct any clean construction or demolition
20    debris fill operation in violation of this Act or any
21    regulations or standards adopted by the Board;
22        (2) use soil other than uncontaminated soil as fill
23    material at a clean construction or demolition debris fill
24    operation;
25        (3) use construction or demolition debris other than
26    clean construction or demolition debris as fill material at

 

 

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1    a clean construction or demolition debris fill operation;
2    or
3        (4) locate any clean construction or demolition debris
4    fill operation within the setback zone of a potable water
5    supply well.
6    (b) (Blank). (1)(A) Beginning August 18, 2005 but prior to
7July 1, 2008, no person shall use clean construction or
8demolition debris as fill material in a current or former
9quarry, mine, or other excavation, unless they have applied for
10an interim authorization from the Agency for the clean
11construction or demolition debris fill operation.
12    (B) The Agency shall approve an interim authorization upon
13its receipt of a written application for the interim
14authorization that is signed by the site owner and the site
15operator, or their duly authorized agent, and that contains the
16following information: (i) the location of the site where the
17clean construction or demolition debris fill operation is
18taking place, (ii) the name and address of the site owner,
19(iii) the name and address of the site operator, and (iv) the
20types and amounts of clean construction or demolition debris
21being used as fill material at the site.
22    (C) The Agency may deny an interim authorization if the
23site owner or the site operator, or their duly authorized
24agent, fails to provide to the Agency the information listed in
25subsection (b)(1)(B) of this Section. Any denial of an interim
26authorization shall be subject to appeal to the Board in

 

 

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1accordance with the procedures of Section 40 of this Act.
2    (D) No person shall use clean construction or demolition
3debris as fill material in a current or former quarry, mine, or
4other excavation for which the Agency has denied interim
5authorization under subsection (b)(1)(C) of this Section. The
6Board may stay the prohibition of this subsection (D) during
7the pendency of an appeal of the Agency's denial of the interim
8authorization brought under subsection (b)(1)(C) of this
9Section.
10    (2) Beginning September 1, 2006, owners and operators of
11clean construction or demolition debris fill operations shall,
12in accordance with a schedule prescribed by the Agency, submit
13to the Agency applications for the permits required under this
14Section. The Agency shall notify owners and operators in
15writing of the due date for their permit application. The due
16date shall be no less than 90 days after the date of the
17Agency's written notification. Owners and operators who do not
18receive a written notification from the Agency by October 1,
192007, shall submit a permit application to the Agency by
20January 1, 2008. The interim authorization of owners and
21operators who fail to submit a permit application to the Agency
22by the permit application's due date shall terminate on (i) the
23due date established by the Agency if the owner or operator
24received a written notification from the Agency prior to
25October 1, 2007, or (ii) or January 1, 2008, if the owner or
26operator did not receive a written notification from the Agency

 

 

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1by October 1, 2007.
2    (b-5) No (3) On and after July 1, 2008, no person shall use
3clean construction or demolition debris as fill material in a
4current or former quarry, mine, or other excavation (i) without
5a permit granted by the Agency for the clean construction or
6demolition debris fill operation or in violation of any
7conditions imposed by such permit, including periodic reports
8and full access to adequate records and the inspection of
9facilities, as may be necessary to assure compliance with this
10Act and with Board regulations and standards adopted under this
11Act or (ii) in violation of any regulations or standards
12adopted by the Board under this Act.
13    (4) This subsection (b) does not apply to:
14        (A) the use of clean construction or demolition debris
15    as fill material in a current or former quarry, mine, or
16    other excavation located on the site where the clean
17    construction or demolition debris was generated;
18        (B) the use of clean construction or demolition debris
19    as fill material in an excavation other than a current or
20    former quarry or mine if this use complies with Illinois
21    Department of Transportation specifications; or
22        (C) current or former quarries, mines, and other
23    excavations that do not use clean construction or
24    demolition debris as fill material.
25    (c) In accordance with Title VII of this Act, the Board may
26adopt regulations to promote the purposes of this Section. The

 

 

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1Agency shall consult with the mining and construction
2industries during the development of any regulations to promote
3the purposes of this Section.
4    (c-5) (1) No later than December 15, 2005, the Agency shall
5propose to the Board, and no later than September 1, 2006, the
6Board shall adopt, regulations for the use of clean
7construction or demolition debris as fill material in current
8and former quarries, mines, and other excavations. Such
9regulations shall include, but shall not be limited to,
10standards for clean construction or demolition debris fill
11operations and the submission and review of permits required
12under this Section.
13        (2) Until the Board adopts rules under subsection
14    (c)(1) of this Section, all persons using clean
15    construction or demolition debris as fill material in a
16    current or former quarry, mine, or other excavation shall:
17            (A) Assure that only clean construction or
18        demolition debris is being used as fill material by
19        screening each truckload of material received using a
20        device approved by the Agency that detects volatile
21        organic compounds. Such devices may include, but are
22        not limited to, photo ionization detectors. All
23        screening devices shall be operated and maintained in
24        accordance with manufacturer's specifications.
25        Unacceptable fill material shall be rejected from the
26        site; and

 

 

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1            (B) Retain for a minimum of 3 years the following
2        information:
3                (i) The name of the hauler, the name of the
4            generator, and place of origin of the debris or
5            soil;
6                (ii) The approximate weight or volume of the
7            debris or soil; and
8                (iii) The date the debris or soil was received.
9    (d) This Section applies only to clean construction or
10demolition debris that is not considered "waste" as provided in
11Section 3.160 of this Act.
12    (e) (Blank). For purposes of this Section:
13        (1) The term "operator" means a person responsible for
14    the operation and maintenance of a clean construction or
15    demolition debris fill operation.
16        (2) The term "owner" means a person who has any direct
17    or indirect interest in a clean construction or demolition
18    debris fill operation or in land on which a person operates
19    and maintains a clean construction or demolition debris
20    fill operation. A "direct or indirect interest" does not
21    include the ownership of publicly traded stock. The "owner"
22    is the "operator" if there is no other person who is
23    operating and maintaining a clean construction or
24    demolition debris fill operation.
25        (3) The term "clean construction or demolition debris
26    fill operation" means a current or former quarry, mine, or

 

 

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1    other excavation where clean construction or demolition
2    debris is used as fill material.
3        (4) The term "uncontaminated soil" shall have the same
4    meaning as uncontaminated soil under Section 3.160 of this
5    Act.
6    (f)(1) No later than one year after July 30, 2010 (the
7effective date of Public Act 96-1416) this amendatory Act of
8the 96th General Assembly, the Agency shall propose to the
9Board, and, no later than one year after the Board's receipt of
10the Agency's proposal, the Board shall adopt, rules for the use
11of clean construction or demolition debris and uncontaminated
12soil as fill material at clean construction or demolition
13debris fill operations. The rules must include standards and
14procedures necessary to protect groundwater, which may
15include, but shall not be limited to, the following:
16requirements regarding testing and certification of soil used
17as fill material, surface water runoff, liners or other
18protective barriers, monitoring (including, but not limited
19to, groundwater monitoring), corrective action, recordkeeping,
20reporting, closure and post-closure care, financial assurance,
21post-closure land use controls, location standards, and the
22modification of existing permits to conform to the requirements
23of this Act and Board rules. The rules may also include limits
24on the use of recyclable concrete and asphalt as fill material
25at clean construction or demolition debris fill operations,
26taking into account factors such as technical feasibility,

 

 

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1economic reasonableness, and the availability of markets for
2such materials.
3    (2) (Blank). Until the effective date of the Board rules
4adopted under subdivision (f)(1) of this Section, and in
5addition to any other requirements, owners and operators of
6clean construction or demolition debris fill operations must do
7all of the following in subdivisions (f)(2)(A) through
8(f)(2)(D) of this Section for all clean construction or
9demolition debris and uncontaminated soil accepted for use as
10fill material. The requirements in subdivisions (f)(2)(A)
11through (f)(2)(D) of this Section shall not limit any rules
12adopted by the Board.
13        (A) Document the following information for each load of
14    clean construction or demolition debris or uncontaminated
15    soil received: (i) the name of the hauler, the address of
16    the site of origin, and the owner and the operator of the
17    site of origin of the clean construction or demolition
18    debris or uncontaminated soil, (ii) the weight or volume of
19    the clean construction or demolition debris or
20    uncontaminated soil, and (iii) the date the clean
21    construction or demolition debris or uncontaminated soil
22    was received.
23        (B) For all soil, obtain either (i) a certification
24    from the owner or operator of the site from which the soil
25    was removed that the site has never been used for
26    commercial or industrial purposes and is presumed to be

 

 

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1    uncontaminated soil or (ii) a certification from a licensed
2    Professional Engineer or licensed Professional Geologist
3    that the soil is uncontaminated soil. Certifications
4    required under this subdivision (f)(2)(B) must be on forms
5    and in a format prescribed by the Agency.
6        (C) Confirm that the clean construction or demolition
7    debris or uncontaminated soil was not removed from a site
8    as part of a cleanup or removal of contaminants, including,
9    but not limited to, activities conducted under the
10    Comprehensive Environmental Response, Compensation, and
11    Liability Act of 1980, as amended; as part of a Closure or
12    Corrective Action under the Resource Conservation and
13    Recovery Act, as amended; or under an Agency remediation
14    program, such as the Leaking Underground Storage Tank
15    Program or Site Remediation Program, but excluding sites
16    subject to Section 58.16 of this Act where there is no
17    presence or likely presence of a release or a substantial
18    threat of a release of a regulated substance at, on, or
19    from the real property.
20        (D) Document all activities required under subdivision
21    (f)(2) of this Section. Documentation of any chemical
22    analysis must include, but is not limited to, (i) a copy of
23    the lab analysis, (ii) accreditation status of the
24    laboratory performing the analysis, and (iii)
25    certification by an authorized agent of the laboratory that
26    the analysis has been performed in accordance with the

 

 

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1    Agency's rules for the accreditation of environmental
2    laboratories and the scope of accreditation.
3    (3) (Blank). Owners and operators of clean construction or
4demolition debris fill operations must maintain all
5documentation required under subdivision (f)(2) of this
6Section for a minimum of 3 years following the receipt of each
7load of clean construction or demolition debris or
8uncontaminated soil, except that documentation relating to an
9appeal, litigation, or other disputed claim must be maintained
10until at least 3 years after the date of the final disposition
11of the appeal, litigation, or other disputed claim. Copies of
12the documentation must be made available to the Agency and to
13units of local government for inspection and copying during
14normal business hours. The Agency may prescribe forms and
15formats for the documentation required under subdivision
16(f)(2) of this Section.
17    Chemical analysis conducted under subdivision (f)(2) of
18this Section must be conducted in accordance with the
19requirements of 35 Ill. Adm. Code 742, as amended, and "Test
20Methods for Evaluating Solid Waste, Physical/Chemical
21Methods", USEPA Publication No. SW-846, as amended.
22    (g) (Blank). (1) No person shall use soil other than
23uncontaminated soil as fill material at a clean construction or
24demolition debris fill operation.
25    (2) No person shall use construction or demolition debris
26other than clean construction or demolition debris as fill

 

 

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1material at a clean construction or demolition debris fill
2operation.
3    (h) No later than January 1, 2019, the Agency shall propose
4to the Board for adoption, and, no later than one year after
5receipt of the Agency's proposal, the Board shall adopt rules
6to protect public health and the environment from any threats
7posed by clean construction or demolition debris fill
8operations. The rules adopted under this subsection shall
9include, but not be limited to, rules that establish enhanced
10pre-acceptance and post-acceptance sampling protocols for
11clean construction and demolition debris fill operations, as
12described in paragraphs (1) and (2) of this subsection, and
13rules that allow owners and operators to transfer a portion of
14a permitted clean construction or demolition debris fill
15operation site to another person before termination of the
16permit, as described in paragraph (3) of this subsection. The
17Agency shall also propose to the Board for adoption rules that
18establish the monitoring of NPDES permitted discharges from
19clean construction or demolition debris sites as described in
20paragraph (4) of this subsection.
21        (1) The pre-acceptance sampling protocols adopted by
22    the Board under this subsection shall include, but not be
23    limited to, provisions requiring the owner or operator to
24    obtain, for all soil accepted for use as fill at the clean
25    construction or demolition debris fill operation, a
26    certification from a professional engineer licensed under

 

 

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1    the Professional Engineering Practice Act of 1989 or a
2    licensed professional geologist licensed under the
3    Professional Geologist Licensing Act that the soil is
4    uncontaminated soil. The certification required under this
5    subsection must be based on analytical testing of at least
6    one representative soil sample for each volume of soil that
7    the Board determines must be sampled in order to
8    characterize the soil being accepted for use as fill. The
9    Board may provide exemptions from pre-acceptance sampling
10    protocols required under this subsection for small volumes
11    of soil generated at a site upon which a residence is
12    located, provided that there is no historical or current
13    use of the site, or potential contaminant migration from a
14    proximate site, that increases the presence or potential
15    presence of contamination at the site.
16        (2) The post-acceptance sampling protocols adopted by
17    the Board under this subsection shall include, but not be
18    limited to, provisions requiring the owner or operator to
19    perform, for all soil accepted for use as fill,
20    post-acceptance sampling in accordance with a plan
21    approved by the Agency. At a minimum, the Agency-approved
22    plan required under this subsection must provide for the
23    analytical testing of at least one representative soil
24    sample for each volume of soil that the Board determines
25    must be sampled to characterize the soil being accepted for
26    use as fill. If the analytical testing indicates that any

 

 

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1    of the soil accepted for use as fill is not uncontaminated
2    soil, the owner or operator shall conduct additional
3    investigation and identify, remove, and properly dispose
4    of all soil that is not uncontaminated soil.
5        (3) The rules adopted by the Board under this
6    subsection shall allow owners and operators to transfer a
7    portion of a permitted clean construction or demolition
8    debris fill operation site to another person before
9    termination of the permit, and to have the transferred
10    portion of the site removed from the permit prior to
11    completion of closure and post-closure maintenance,
12    provided that all of the following requirements have been
13    satisfied:
14            (A) The owner or operator files with the Agency:
15                (i) an application to modify the fill
16            operation permit to recognize a change in
17            ownership of the transferred property before
18            completion of closure and post-closure
19            maintenance;
20                (ii) documentation identifying the portion of
21            the site being transferred; and
22                (iii) a copy of the transferee's plans for the
23            portion of the site being transferred that
24            document how the site will be developed,
25            including, but not limited to, plans demonstrating
26            how the closure and post-closure requirements set

 

 

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1            forth in Board rules will be satisfied.
2            (B) The owner or operator provides the persons to
3        whom the portion of the site will be transferred the
4        results of site assessments conducted in accordance
5        with Board rules.
6            (C) The portion of the site being transferred is
7        filled to within at least 3 feet of the final fill
8        elevation that would otherwise be required under the
9        closure and post-closure maintenance requirements in
10        the permit.
11            (D) If a portion of the site is to be sold,
12        transferred, quitclaimed, or given to any municipal or
13        government body, Phase I and II Environmental Site
14        Assessments must be conducted by the parties at the
15        expense of the site's owner.
16            (E) The owner or operator posts with the Agency a
17        performance bond for purposes of closure and
18        post-closure maintenance of the portion of the site
19        being transferred. The bond shall be directly related
20        to the estimate of the costs for the Agency to
21        remediate the transferred portion of the site to a
22        condition consistent with the closure and post-closure
23        maintenance requirements applicable to the site. The
24        bond required under this subparagraph shall not affect
25        in any way any obligation or liability of any person
26        under this Act or any other State or federal law.

 

 

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1        (4) The Agency shall propose and the board shall adopt
2    rules to require the testing of discharges conducted under
3    NPDES permits, should a clean construction or demolition
4    debris site have an NPDES permit. These rules shall be
5    constructed to alter site operators and the agency of
6    potential contamination of any body of water, including,
7    but not limited to groundwater.
8    The rules adopted under this subsection shall provide that
9the person to whom a portion of a permitted clean construction
10or demolition debris fill operation site is transferred must
11complete closure and post-closure maintenance for the
12transferred portion of the site in accordance with Board rules.
13    The rules adopted under this subsection shall also specify
14the conditions under which the State is entitled to collect
15moneys from the performance bond required under subparagraph
16(E) of paragraph (3) of this subsection. Any money forfeited to
17the State of Illinois from any performance bond required under
18this subsection shall be deposited into the Landfill Closure
19and Post-Closure Fund established under Section 21.1 of this
20Act and shall, upon approval by the Governor and the Director
21of the Agency, be used by and under the direction of the Agency
22for the purposes for which the performance bond was issued. The
23Agency shall have the authority to approve or disapprove any
24performance bond posted in accordance with the rules adopted
25under this subsection. If the Agency disapproves a performance
26bond required under the rules adopted under this subsection,

 

 

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1the person whose performance bond is disapproved by the Agency
2may contest the disapproval in the same manner as the appeal of
3a permit denial under Section 40 of this Act.
4    The Agency is authorized to enter into contracts and
5agreements as it may deem necessary to carry out the purposes
6of this subsection or rules adopted under this subsection.
7Neither the State, nor the Director of the Agency, nor any
8State employee shall be liable for any damages or injuries
9arising out of or resulting from any action taken under this
10subsection or rules adopted under this subsection.
11    Neither this subsection nor the rules adopted under this
12subsection shall bar a cause of action by the State for any
13other penalty or relief provided by this Act or any other law.
14    (i) Neither this Section nor the rules adopted under this
15Section apply to:
16        (1) the use of clean construction or demolition debris
17    as fill at the site where the clean construction or
18    demolition debris is generated; or
19        (2) the use of clean construction or demolition debris,
20    in accordance with Department of Transportation
21    specifications, by the Department of Transportation, the
22    Illinois State Toll Highway Authority, or a county or local
23    highway authority, except to the extent that the clean
24    construction or demolition debris is used as fill material
25    in a privately-owned or privately-operated clean
26    construction or demolition debris fill operation.

 

 

10000HB3342sam002- 21 -LRB100 08528 MJP 40203 a

1(Source: P.A. 96-1416, eff. 7-30-10; 97-137, eff. 7-14-11.)
 
2    (415 ILCS 5/22.51a)
3    Sec. 22.51a. Uncontaminated Soil Fill Operations.
4    (a) For purposes of this Section:
5        "Operator" means a person responsible for the
6    operation and maintenance of an uncontaminated soil fill
7    operation.
8        "Owner" means a person who has any direct or indirect
9    interest in an uncontaminated soil fill operation or in
10    land on which a person operates and maintains an
11    uncontaminated soil fill operation. A "direct or indirect
12    interest" does not include the ownership of publicly traded
13    stock. The "owner" is the "operator" if there is no other
14    person who is operating and maintaining an uncontaminated
15    soil fill operation.
16        "Uncontaminated soil" has the meaning provided (1) The
17    term "uncontaminated soil" shall have the same meaning as
18    uncontaminated soil under Section 3.160 of this Act.
19        "Uncontaminated soil fill operation" (2) The term
20    "uncontaminated soil fill operation" means a current or
21    former quarry, mine, or other excavation where
22    uncontaminated soil is used as fill material.
23    "Uncontaminated soil fill operation" , but does not include
24    a clean construction or demolition debris fill operation.
25    (b) No person shall:

 

 

10000HB3342sam002- 22 -LRB100 08528 MJP 40203 a

1        (1) conduct any uncontaminated soil fill operation in
2    violation of this Act or any rules or standards adopted by
3    the Board;
4        (2) use soil other than uncontaminated soil as fill
5    material at an uncontaminated soil fill operation; or
6        (3) locate any uncontaminated soil fill operation
7    within the setback zone of a potable water supply well.
8    (c) Owners and operators of uncontaminated soil fill
9operations must register the fill operations with the Agency.
10Uncontaminated soil fill operations that received
11uncontaminated soil prior to July 30, 2010 (the effective date
12of Public Act 96-1416) this amendatory Act of the 96th General
13Assembly must be registered with the Agency no later than March
1431, 2011. Uncontaminated soil fill operations that first
15receive uncontaminated soil on or after July 30, 2010 (the
16effective date of Public Act 96-1416) this amendatory Act of
17the 96th General Assembly must be registered with the Agency
18prior to the receipt of any uncontaminated soil. Registrations
19must be submitted on forms and in a format prescribed by the
20Agency.
21    (d)(1) No later than one year after July 30, 2010 (the
22effective date of Public Act 96-1416) this amendatory Act of
23the 96th General Assembly, the Agency shall propose to the
24Board, and, no later than one year after the Board's receipt of
25the Agency's proposal, the Board shall adopt, rules for the use
26of uncontaminated soil as fill material at uncontaminated soil

 

 

10000HB3342sam002- 23 -LRB100 08528 MJP 40203 a

1fill operations. The rules must include standards and
2procedures necessary to protect groundwater, which shall
3include, but shall not be limited to, testing and certification
4of soil used as fill material and requirements for
5recordkeeping.
6    (2) (Blank). Until the effective date of the Board rules
7adopted under subdivision (d)(1) of this Section, owners and
8operators of uncontaminated soil fill operations must do all of
9the following in subdivisions (d)(2)(A) through (d)(2)(F) of
10this Section for all uncontaminated soil accepted for use as
11fill material. The requirements in subdivisions (d)(2)(A)
12through (d)(2)(F) of this Section shall not limit any rules
13adopted by the Board.
14        (A) Document the following information for each load of
15    uncontaminated soil received: (i) the name of the hauler,
16    the address of the site of origin, and the owner and the
17    operator of the site of origin of the uncontaminated soil,
18    (ii) the weight or volume of the uncontaminated soil, and
19    (iii) the date the uncontaminated soil was received.
20        (B) Obtain either (i) a certification from the owner or
21    operator of the site from which the soil was removed that
22    the site has never been used for commercial or industrial
23    purposes and is presumed to be uncontaminated soil or (ii)
24    a certification from a licensed Professional Engineer or a
25    licensed Professional Geologist that the soil is
26    uncontaminated soil. Certifications required under this

 

 

10000HB3342sam002- 24 -LRB100 08528 MJP 40203 a

1    subdivision (d)(2)(B) must be on forms and in a format
2    prescribed by the Agency.
3        (C) Confirm that the uncontaminated soil was not
4    removed from a site as part of a cleanup or removal of
5    contaminants, including, but not limited to, activities
6    conducted under the Comprehensive Environmental Response,
7    Compensation, and Liability Act of 1980, as amended; as
8    part of a Closure or Corrective Action under the Resource
9    Conservation and Recovery Act, as amended; or under an
10    Agency remediation program, such as the Leaking
11    Underground Storage Tank Program or Site Remediation
12    Program, but excluding sites subject to Section 58.16 of
13    this Act where there is no presence or likely presence of a
14    release or a substantial threat of a release of a regulated
15    substance at, on, or from the real property.
16        (D) Visually inspect each load to confirm that only
17    uncontaminated soil is being accepted for use as fill
18    material.
19        (E) Screen each load of uncontaminated soil using a
20    device that is approved by the Agency and detects volatile
21    organic compounds. Such a device may include, but is not
22    limited to, a photo ionization detector or a flame
23    ionization detector. All screening devices shall be
24    operated and maintained in accordance with the
25    manufacturer's specifications. Unacceptable soil must be
26    rejected from the fill operation.

 

 

10000HB3342sam002- 25 -LRB100 08528 MJP 40203 a

1        (F) Document all activities required under subdivision
2    (d)(2) of this Section. Documentation of any chemical
3    analysis must include, but is not limited to, (i) a copy of
4    the lab analysis, (ii) accreditation status of the
5    laboratory performing the analysis, and (iii)
6    certification by an authorized agent of the laboratory that
7    the analysis has been performed in accordance with the
8    Agency's rules for the accreditation of environmental
9    laboratories and the scope of accreditation.
10    (3) (Blank). Owners and operators of uncontaminated soil
11fill operations must maintain all documentation required under
12subdivision (d)(2) of this Section for a minimum of 3 years
13following the receipt of each load of uncontaminated soil,
14except that documentation relating to an appeal, litigation, or
15other disputed claim must be maintained until at least 3 years
16after the date of the final disposition of the appeal,
17litigation, or other disputed claim. Copies of the
18documentation must be made available to the Agency and to units
19of local government for inspection and copying during normal
20business hours. The Agency may prescribe forms and formats for
21the documentation required under subdivision (d)(2) of this
22Section.
23    Chemical analysis conducted under subdivision (d)(2) of
24this Section must be conducted in accordance with the
25requirements of 35 Ill. Adm. Code 742, as amended, and "Test
26Methods for Evaluating Solid Waste, Physical/Chemical

 

 

10000HB3342sam002- 26 -LRB100 08528 MJP 40203 a

1Methods", USEPA Publication No. SW-846, as amended.
2    (e) No later than January 1, 2019, the Agency shall propose
3to the Board for adoption, and, no later than one year after
4receipt of the Agency's proposal, the Board shall adopt rules
5to protect public health and the environment from any threats
6posed by uncontaminated soil fill operations. The rules shall
7include, but not be limited to, rules that establish enhanced
8pre-acceptance and post-acceptance sampling protocols for
9uncontaminated soil fill operations, as described in
10paragraphs (1) and (2) of this subsection.
11        (1) The pre-acceptance sampling protocols adopted by
12    the Board pursuant to this subsection shall include, but
13    shall not be limited to, provisions requiring the owner or
14    operator to obtain, for all soil accepted for use as fill
15    at the uncontaminated soil fill operation, a certification
16    from a professional engineer licensed under the
17    Professional Engineering Practice Act of 1989 or a licensed
18    professional geologist licensed under the Professional
19    Geologist Licensing Act that the soil is uncontaminated
20    soil. The certification required under this subsection
21    must be based on analytical testing of at least one
22    representative soil sample for each volume of soil that the
23    Board determines must be sampled in order to characterize
24    the soil being accepted for use as fill. The Board may
25    provide exemptions from pre-acceptance sampling protocols
26    required under this subsection for small volumes of soil

 

 

10000HB3342sam002- 27 -LRB100 08528 MJP 40203 a

1    generated at a site upon which a residence is located,
2    provided that there is no historical or current use of the
3    site, or potential contaminant migration from a proximate
4    site, that increases the presence or potential presence of
5    contamination at the site.
6        (2) The post-acceptance sampling protocols adopted by
7    the Board pursuant to this subsection shall include, but
8    not be limited to, provisions requiring the owner or
9    operator to perform, for all soil accepted for use as fill,
10    post-acceptance sampling in accordance with a plan
11    approved by the Agency. At a minimum, the Agency-approved
12    plan required under this subsection must provide for the
13    analytical testing of at least one representative soil
14    sample for each volume of soil that the Board determines
15    must be sampled to characterize the soil being accepted for
16    use as fill. If the analytical testing indicates that any
17    of the soil accepted for use as fill is not uncontaminated
18    soil, the owner or operator shall conduct additional
19    investigation and identify, remove, and properly dispose
20    of all soil that is not uncontaminated soil.
21    (f) Neither this Section nor the rules adopted under this
22Section apply to:
23        (1) the use of uncontaminated soil as fill at the site
24    where the uncontaminated soil is generated;
25        (2) the use of uncontaminated soil, in accordance with
26    Department of Transportation specifications, by the

 

 

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1    Department of Transportation, the Illinois State Toll
2    Highway Authority, or a county or local highway authority,
3    except to the extent that the soil is used as fill material
4    in a privately-owned or privately-operated uncontaminated
5    soil fill operation; or
6        (3) the use of uncontaminated soil at a remediation
7    site in accordance with a remediation plan approved by the
8    Agency or the United States Environmental Protection
9    Agency.
10(Source: P.A. 96-1416, eff. 7-30-10; 97-137, eff. 7-14-11.)
 
11    (415 ILCS 5/30)  (from Ch. 111 1/2, par. 1030)
12    Sec. 30. Investigations. The Agency shall cause
13investigations to be made upon the request of the Board, as a
14result of the Agency's own investigation or knowledge, or upon
15receipt of information concerning an alleged violation of this
16Act, any rule or regulation adopted under this Act, any permit
17or term or condition of a permit, or any Board order, and may
18cause to be made such other investigations as it shall deem
19advisable.
20(Source: P.A. 92-574, eff. 6-26-02; 93-152, eff. 7-10-03.)
 
21    (415 ILCS 5/31)  (from Ch. 111 1/2, par. 1031)
22    Sec. 31. Notice; complaint; hearing.
23    (a)(1) Within 180 days after becoming aware of an alleged
24    violation of the Act, any rule adopted under the Act, a

 

 

10000HB3342sam002- 29 -LRB100 08528 MJP 40203 a

1    permit granted by the Agency, or a condition of such a
2    permit, the Agency shall issue and serve, by certified
3    mail, upon the person complained against a written notice
4    informing that person that the Agency has evidence of the
5    alleged violation. At a minimum, the written notice shall
6    contain:
7            (A) a notification to the person complained
8        against of the requirement to submit a written response
9        addressing the violations alleged and the option to
10        meet with appropriate agency personnel to resolve any
11        alleged violations that could lead to the filing of a
12        formal complaint;
13            (B) a detailed explanation by the Agency of the
14        violations alleged;
15            (C) an explanation by the Agency of the actions
16        that the Agency believes may resolve the alleged
17        violations, including an estimate of a reasonable time
18        period for the person complained against to complete
19        the suggested resolution; and
20            (D) an explanation of any alleged violation that
21        the Agency believes cannot be resolved without the
22        involvement of the Office of the Illinois Attorney
23        General or the State's Attorney of the county in which
24        the alleged violation occurred and the basis for the
25        Agency's belief.
26        (2) A written response to the violations alleged shall

 

 

10000HB3342sam002- 30 -LRB100 08528 MJP 40203 a

1    be submitted to the Agency, by certified mail, within 45
2    days after receipt of notice by the person complained
3    against, unless the Agency agrees to an extension. The
4    written response shall include:
5            (A) information in rebuttal, explanation or
6        justification of each alleged violation;
7            (B) if the person complained against desires to
8        enter into a Compliance Commitment Agreement, proposed
9        terms for a Compliance Commitment Agreement that
10        includes specified times for achieving each commitment
11        and which may consist of a statement indicating that
12        the person complained against believes that compliance
13        has been achieved; and
14            (C) a request for a meeting with appropriate Agency
15        personnel if a meeting is desired by the person
16        complained against.
17        (3) If the person complained against fails to respond
18    in accordance with the requirements of subdivision (2) of
19    this subsection (a), the failure to respond shall be
20    considered a waiver of the requirements of this subsection
21    (a) and nothing in this Section shall preclude the Agency
22    from proceeding pursuant to subsection (b) of this Section.
23        (4) A meeting requested pursuant to subdivision (2) of
24    this subsection (a) shall be held without a representative
25    of the Office of the Illinois Attorney General or the
26    State's Attorney of the county in which the alleged

 

 

10000HB3342sam002- 31 -LRB100 08528 MJP 40203 a

1    violation occurred, within 60 days after receipt of notice
2    by the person complained against, unless the Agency agrees
3    to a postponement. At the meeting, the Agency shall provide
4    an opportunity for the person complained against to respond
5    to each alleged violation, suggested resolution, and
6    suggested implementation time frame, and to suggest
7    alternate resolutions.
8        (5) If a meeting requested pursuant to subdivision (2)
9    of this subsection (a) is held, the person complained
10    against shall, within 21 days following the meeting or
11    within an extended time period as agreed to by the Agency,
12    submit by certified mail to the Agency a written response
13    to the alleged violations. The written response shall
14    include:
15            (A) additional information in rebuttal,
16        explanation, or justification of each alleged
17        violation;
18            (B) if the person complained against desires to
19        enter into a Compliance Commitment Agreement, proposed
20        terms for a Compliance Commitment Agreement that
21        includes specified times for achieving each commitment
22        and which may consist of a statement indicating that
23        the person complained against believes that compliance
24        has been achieved; and
25            (C) a statement indicating that, should the person
26        complained against so wish, the person complained

 

 

10000HB3342sam002- 32 -LRB100 08528 MJP 40203 a

1        against chooses to rely upon the initial written
2        response submitted pursuant to subdivision (2) of this
3        subsection (a).
4        (6) If the person complained against fails to respond
5    in accordance with the requirements of subdivision (5) of
6    this subsection (a), the failure to respond shall be
7    considered a waiver of the requirements of this subsection
8    (a) and nothing in this Section shall preclude the Agency
9    from proceeding pursuant to subsection (b) of this Section.
10        (7) Within 30 days after the Agency's receipt of a
11    written response submitted by the person complained
12    against pursuant to subdivision (2) of this subsection (a)
13    if a meeting is not requested or pursuant to subdivision
14    (5) of this subsection (a) if a meeting is held, or within
15    a later time period as agreed to by the Agency and the
16    person complained against, the Agency shall issue and
17    serve, by certified mail, upon the person complained
18    against (i) a proposed Compliance Commitment Agreement or
19    (ii) a notice that one or more violations cannot be
20    resolved without the involvement of the Office of the
21    Attorney General or the State's Attorney of the county in
22    which the alleged violation occurred and that no proposed
23    Compliance Commitment Agreement will be issued by the
24    Agency for those violations. The Agency shall include terms
25    and conditions in the proposed Compliance Commitment
26    Agreement that are, in its discretion, necessary to bring

 

 

10000HB3342sam002- 33 -LRB100 08528 MJP 40203 a

1    the person complained against into compliance with the Act,
2    any rule adopted under the Act, any permit granted by the
3    Agency, or any condition of such a permit. The Agency shall
4    take into consideration the proposed terms for the proposed
5    Compliance Commitment Agreement that were provided under
6    subdivision (a)(2)(B) or (a)(5)(B) of this Section by the
7    person complained against.
8        (7.5) Within 30 days after the receipt of the Agency's
9    proposed Compliance Commitment Agreement by the person
10    complained against, the person shall either (i) agree to
11    and sign the proposed Compliance Commitment Agreement
12    provided by the Agency and submit the signed Compliance
13    Commitment Agreement to the Agency by certified mail or
14    (ii) notify the Agency in writing by certified mail of the
15    person's rejection of the proposed Compliance Commitment
16    Agreement. If the person complained against fails to
17    respond to the proposed Compliance Commitment Agreement
18    within 30 days as required under this paragraph, the
19    proposed Compliance Commitment Agreement is deemed
20    rejected by operation of law. Any Compliance Commitment
21    Agreement entered into under item (i) of this paragraph may
22    be amended subsequently in writing by mutual agreement
23    between the Agency and the signatory to the Compliance
24    Commitment Agreement, the signatory's legal
25    representative, or the signatory's agent.
26        (7.6) No person shall violate the terms or conditions

 

 

10000HB3342sam002- 34 -LRB100 08528 MJP 40203 a

1    of a Compliance Commitment Agreement entered into under
2    subdivision (a)(7.5) of this Section. Successful
3    completion of a Compliance Commitment Agreement or an
4    amended Compliance Commitment Agreement shall be a factor
5    to be weighed, in favor of the person completing the
6    Agreement, by the Office of the Illinois Attorney General
7    in determining whether to file a complaint for the
8    violations that were the subject of the Agreement.
9        (8) Nothing in this subsection (a) is intended to
10    require the Agency to enter into Compliance Commitment
11    Agreements for any alleged violation that the Agency
12    believes cannot be resolved without the involvement of the
13    Office of the Attorney General or the State's Attorney of
14    the county in which the alleged violation occurred, for,
15    among other purposes, the imposition of statutory
16    penalties.
17        (9) The Agency's failure to respond within 90 30 days
18    to a written response submitted pursuant to subdivision (2)
19    of this subsection (a) if a meeting is not requested or
20    pursuant to subdivision (5) of this subsection (a) if a
21    meeting is held, or within the time period otherwise agreed
22    to in writing by the Agency and the person complained
23    against, shall be deemed an acceptance by the Agency of the
24    proposed terms of the Compliance Commitment Agreement for
25    the violations alleged in the written notice issued under
26    subdivision (1) of this subsection (a) as contained within

 

 

10000HB3342sam002- 35 -LRB100 08528 MJP 40203 a

1    the written response.
2        (10) If the person complained against complies with the
3    terms of a Compliance Commitment Agreement accepted
4    pursuant to this subsection (a), the Agency shall not refer
5    the alleged violations which are the subject of the
6    Compliance Commitment Agreement to the Office of the
7    Illinois Attorney General or the State's Attorney of the
8    county in which the alleged violation occurred. However,
9    nothing in this subsection is intended to preclude the
10    Agency from continuing negotiations with the person
11    complained against or from proceeding pursuant to the
12    provisions of subsection (b) of this Section for alleged
13    violations that remain the subject of disagreement between
14    the Agency and the person complained against following
15    fulfillment of the requirements of this subsection (a).
16        (11) Nothing in this subsection (a) is intended to
17    preclude the person complained against from submitting to
18    the Agency, by certified mail, at any time, notification
19    that the person complained against consents to waiver of
20    the requirements of subsections (a) and (b) of this
21    Section.
22        (12) The Agency shall have the authority to adopt rules
23    for the administration of subsection (a) of this Section.
24    The rules shall be adopted in accordance with the
25    provisions of the Illinois Administrative Procedure Act.
26    (b) For alleged violations that remain the subject of

 

 

10000HB3342sam002- 36 -LRB100 08528 MJP 40203 a

1disagreement between the Agency and the person complained
2against following fulfillment of the requirements of
3subsection (a) of this Section, and for alleged violations of
4the terms or conditions of a Compliance Commitment Agreement
5entered into under subdivision (a)(7.5) of this Section as well
6as the alleged violations that are the subject of the
7Compliance Commitment Agreement, and as a precondition to the
8Agency's referral or request to the Office of the Illinois
9Attorney General or the State's Attorney of the county in which
10the alleged violation occurred for legal representation
11regarding an alleged violation that may be addressed pursuant
12to subsection (c) or (d) of this Section or pursuant to Section
1342 of this Act, the Agency shall issue and serve, by certified
14mail, upon the person complained against a written notice
15informing that person that the Agency intends to pursue legal
16action. Such notice shall notify the person complained against
17of the violations to be alleged and offer the person an
18opportunity to meet with appropriate Agency personnel in an
19effort to resolve any alleged violations that could lead to the
20filing of a formal complaint. The meeting with Agency personnel
21shall be held within 30 days after receipt of notice served
22pursuant to this subsection upon the person complained against,
23unless the Agency agrees to a postponement or the person
24notifies the Agency that he or she will not appear at a meeting
25within the 30-day time period. Nothing in this subsection is
26intended to preclude the Agency from following the provisions

 

 

10000HB3342sam002- 37 -LRB100 08528 MJP 40203 a

1of subsection (c) or (d) of this Section or from requesting the
2legal representation of the Office of the Illinois Attorney
3General or the State's Attorney of the county in which the
4alleged violations occurred for alleged violations which
5remain the subject of disagreement between the Agency and the
6person complained against after the provisions of this
7subsection are fulfilled.
8     (c)(1) For alleged violations which remain the subject of
9    disagreement between the Agency and the person complained
10    against following waiver pursuant to subdivision (10) of
11    subsection (a) of this Section or fulfillment of the
12    requirements of subsections (a) and (b) of this Section,
13    the Office of the Illinois Attorney General or the State's
14    Attorney of the county in which the alleged violation
15    occurred shall issue and serve upon the person complained
16    against a written notice, together with a formal complaint,
17    which shall specify the provision of the Act, rule,
18    regulation, permit, or term or condition thereof under
19    which such person is said to be in violation and a
20    statement of the manner in and the extent to which such
21    person is said to violate the Act, rule, regulation,
22    permit, or term or condition thereof and shall require the
23    person so complained against to answer the charges of such
24    formal complaint at a hearing before the Board at a time
25    not less than 21 days after the date of notice by the
26    Board, except as provided in Section 34 of this Act. Such

 

 

10000HB3342sam002- 38 -LRB100 08528 MJP 40203 a

1    complaint shall be accompanied by a notification to the
2    defendant that financing may be available, through the
3    Illinois Environmental Facilities Financing Act, to
4    correct such violation. A copy of such notice of such
5    hearings shall also be sent to any person that has
6    complained to the Agency respecting the respondent within
7    the six months preceding the date of the complaint, and to
8    any person in the county in which the offending activity
9    occurred that has requested notice of enforcement
10    proceedings; 21 days notice of such hearings shall also be
11    published in a newspaper of general circulation in such
12    county. The respondent may file a written answer, and at
13    such hearing the rules prescribed in Sections 32 and 33 of
14    this Act shall apply. In the case of actual or threatened
15    acts outside Illinois contributing to environmental damage
16    in Illinois, the extraterritorial service-of-process
17    provisions of Sections 2-208 and 2-209 of the Code of Civil
18    Procedure shall apply.
19        With respect to notices served pursuant to this
20    subsection (c)(1) that involve hazardous material or
21    wastes in any manner, the Agency shall annually publish a
22    list of all such notices served. The list shall include the
23    date the investigation commenced, the date notice was sent,
24    the date the matter was referred to the Attorney General,
25    if applicable, and the current status of the matter.
26        (2) Notwithstanding the provisions of subdivision (1)

 

 

10000HB3342sam002- 39 -LRB100 08528 MJP 40203 a

1    of this subsection (c), whenever a complaint has been filed
2    on behalf of the Agency or by the People of the State of
3    Illinois, the parties may file with the Board a stipulation
4    and proposal for settlement accompanied by a request for
5    relief from the requirement of a hearing pursuant to
6    subdivision (1). Unless the Board, in its discretion,
7    concludes that a hearing will be held, the Board shall
8    cause notice of the stipulation, proposal and request for
9    relief to be published and sent in the same manner as is
10    required for hearing pursuant to subdivision (1) of this
11    subsection. The notice shall include a statement that any
12    person may file a written demand for hearing within 21 days
13    after receiving the notice. If any person files a timely
14    written demand for hearing, the Board shall deny the
15    request for relief from a hearing and shall hold a hearing
16    in accordance with the provisions of subdivision (1).
17        (3) Notwithstanding the provisions of subdivision (1)
18    of this subsection (c), if the Agency becomes aware of a
19    violation of this Act arising from, or as a result of,
20    voluntary pollution prevention activities, the Agency
21    shall not proceed with the written notice required by
22    subsection (a) of this Section unless:
23            (A) the person fails to take corrective action or
24        eliminate the reported violation within a reasonable
25        time; or
26            (B) the Agency believes that the violation poses a

 

 

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1        substantial and imminent danger to the public health or
2        welfare or the environment. For the purposes of this
3        item (B), "substantial and imminent danger" means a
4        danger with a likelihood of serious or irreversible
5        harm.
6        (d)(1) Any person may file with the Board a complaint,
7    meeting the requirements of subsection (c) of this Section,
8    against any person allegedly violating this Act, any rule
9    or regulation adopted under this Act, any permit or term or
10    condition of a permit, or any Board order. The complainant
11    shall immediately serve a copy of such complaint upon the
12    person or persons named therein. Unless the Board
13    determines that such complaint is duplicative or
14    frivolous, it shall schedule a hearing and serve written
15    notice thereof upon the person or persons named therein, in
16    accord with subsection (c) of this Section.
17        (2) Whenever a complaint has been filed by a person
18    other than the Attorney General or the State's Attorney,
19    the parties may file with the Board a stipulation and
20    proposal for settlement accompanied by a request for relief
21    from the hearing requirement of subdivision (c)(1) of this
22    Section. Unless the Board, in its discretion, concludes
23    that a hearing should be held, no hearing on the
24    stipulation and proposal for settlement is required.
25    (e) In hearings before the Board under this Title the
26burden shall be on the Agency or other complainant to show

 

 

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1either that the respondent has caused or threatened to cause
2air or water pollution or that the respondent has violated or
3threatens to violate any provision of this Act or any rule or
4regulation of the Board or permit or term or condition thereof.
5If such proof has been made, the burden shall be on the
6respondent to show that compliance with the Board's regulations
7would impose an arbitrary or unreasonable hardship.
8    (f) The provisions of this Section shall not apply to
9administrative citation actions commenced under Section 31.1
10of this Act.
11    (g) Where the alleged violation under this Section is that
12an owner or operator has accepted soil other than
13uncontaminated soil as fill material under Section 22.51 or
1422.51a of this Act, the Agency's allegations shall be based
15upon a demonstrated threat to area groundwater, using the risk
16based analysis and sampling procedures set forth in 35 Ill.
17Adm. Code Part 742, and any testing shall be conducted by
18laboratories that are properly certified in accordance with the
19Agency's authority under Section 4 of this Act. The owner or
20operator shall be given the opportunity to conduct split
21sampling.
22(Source: P.A. 97-519, eff. 8-23-11.)
 
23    (415 ILCS 5/31.1)  (from Ch. 111 1/2, par. 1031.1)
24    Sec. 31.1. Administrative citation.
25    (a) The prohibitions specified in subsections (o) and (p)

 

 

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1of Section 21 and subsection (k) of Section 55 of this Act
2shall be enforceable either by administrative citation under
3this Section or as otherwise provided by this Act. Violations
4of Section 22.51 and 22.51a of this Act and violations of the
5rules adopted under those Sections shall be enforceable either
6by administrative citation under this Section or as otherwise
7provided by this Act.
8    (b) Whenever Agency personnel or personnel of a unit of
9local government to which the Agency has delegated its
10functions pursuant to subsection (r) of Section 4 of this Act,
11on the basis of direct observation, determine that any person
12has violated any provision of subsection (o) or (p) of Section
1321, Section 22.51, Section 22.51a, or subsection (k) of Section
1455 of this Act, or any rules adopted under Section 22.51 or
15Section 22.51a of this Act, the Agency or such unit of local
16government may issue and serve an administrative citation upon
17such person within not more than 60 days after the date of the
18observed violation. Each such citation issued shall be served
19upon the person named therein or such person's authorized agent
20for service of process, and shall include the following
21information:
22        (1) a statement specifying the provision provisions of
23    subsection (o) or (p) of Section 21, Section 22.51, Section
24    22.51a, or subsection (k) of Section 55 of which the person
25    was observed to violate be in violation;
26        (2) a copy of the inspection report in which the Agency

 

 

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1    or local government recorded the violation, which report
2    shall include the date and time of inspection, and weather
3    conditions prevailing during the inspection;
4        (3) the penalty imposed by subdivision (b)(4) or
5    (b)(4-5) of Section 42 for such violation;
6        (4) instructions for contesting the administrative
7    citation findings pursuant to this Section, including
8    notification that the person has 35 days within which to
9    file a petition for review before the Board to contest the
10    administrative citation; and
11        (5) an affidavit by the personnel observing the
12    violation, attesting to their material actions and
13    observations.
14    (c) The Agency or unit of local government shall file a
15copy of each administrative citation served under subsection
16(b) of this Section with the Board no later than 10 days after
17the date of service.
18    (d) (1) If the person named in the administrative citation
19fails to petition the Board for review within 35 days from the
20date of service, the Board shall adopt a final order, which
21shall include the administrative citation and findings of
22violation as alleged in the citation, and shall impose the
23penalty specified in subdivision (b)(4) or (b)(4-5) of Section
2442.
25    (2) If a petition for review is filed before the Board to
26contest an administrative citation issued under subsection (b)

 

 

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1of this Section, the Agency or unit of local government shall
2appear as a complainant at a hearing before the Board to be
3conducted pursuant to Section 32 of this Act at a time not less
4than 21 days after notice of such hearing has been sent by the
5Board to the Agency or unit of local government and the person
6named in the citation. In such hearings, the burden of proof
7shall be on the Agency or unit of local government. If, based
8on the record, the Board finds that the alleged violation
9occurred, it shall adopt a final order which shall include the
10administrative citation and findings of violation as alleged in
11the citation, and shall impose the penalty specified in
12subdivision (b)(4) or (b)(4-5) of Section 42. However, if the
13Board finds that the person appealing the citation has shown
14that the violation resulted from uncontrollable circumstances,
15the Board shall adopt a final order which makes no finding of
16violation and which imposes no penalty.
17    (e) Sections 10-25 through 10-60 of the Illinois
18Administrative Procedure Act shall not apply to any
19administrative citation issued under subsection (b) of this
20Section.
21    (f) The other provisions of this Section shall not apply to
22a sanitary landfill operated by a unit of local government
23solely for the purpose of disposing of water and sewage
24treatment plant sludges, including necessary stabilizing
25materials.
26    (g) All final orders issued and entered by the Board

 

 

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1pursuant to this Section shall be enforceable by injunction,
2mandamus or other appropriate remedy, in accordance with
3Section 42 of this Act.
4(Source: P.A. 96-737, eff. 8-25-09; 96-1416, eff. 7-30-10.)
 
5    (415 ILCS 5/39)  (from Ch. 111 1/2, par. 1039)
6    Sec. 39. Issuance of permits; procedures.
7    (a) When the Board has by regulation required a permit for
8the construction, installation, or operation of any type of
9facility, equipment, vehicle, vessel, or aircraft, the
10applicant shall apply to the Agency for such permit and it
11shall be the duty of the Agency to issue such a permit upon
12proof by the applicant that the facility, equipment, vehicle,
13vessel, or aircraft will not cause a violation of this Act or
14of regulations hereunder. The Agency shall adopt such
15procedures as are necessary to carry out its duties under this
16Section. In making its determinations on permit applications
17under this Section the Agency may consider prior adjudications
18of noncompliance with this Act by the applicant that involved a
19release of a contaminant into the environment. In granting
20permits, the Agency may impose reasonable conditions
21specifically related to the applicant's past compliance
22history with this Act as necessary to correct, detect, or
23prevent noncompliance. The Agency may impose such other
24conditions as may be necessary to accomplish the purposes of
25this Act, and as are not inconsistent with the regulations

 

 

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1promulgated by the Board hereunder. Except as otherwise
2provided in this Act, a bond or other security shall not be
3required as a condition for the issuance of a permit. If the
4Agency denies any permit under this Section, the Agency shall
5transmit to the applicant within the time limitations of this
6Section specific, detailed statements as to the reasons the
7permit application was denied. Such statements shall include,
8but not be limited to the following:
9        (i) the Sections of this Act which may be violated if
10    the permit were granted;
11        (ii) the provision of the regulations, promulgated
12    under this Act, which may be violated if the permit were
13    granted;
14        (iii) the specific type of information, if any, which
15    the Agency deems the applicant did not provide the Agency;
16    and
17        (iv) a statement of specific reasons why the Act and
18    the regulations might not be met if the permit were
19    granted.
20    If there is no final action by the Agency within 90 days
21after the filing of the application for permit, the applicant
22may deem the permit issued; except that this time period shall
23be extended to 180 days when (1) notice and opportunity for
24public hearing are required by State or federal law or
25regulation, (2) the application which was filed is for any
26permit to develop a landfill subject to issuance pursuant to

 

 

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1this subsection, or (3) the application that was filed is for a
2MSWLF unit required to issue public notice under subsection (p)
3of Section 39. The 90-day and 180-day time periods for the
4Agency to take final action do not apply to NPDES permit
5applications under subsection (b) of this Section, to RCRA
6permit applications under subsection (d) of this Section, or to
7UIC permit applications under subsection (e) of this Section.
8    The Agency shall publish notice of all final permit
9determinations for development permits for MSWLF units and for
10significant permit modifications for lateral expansions for
11existing MSWLF units one time in a newspaper of general
12circulation in the county in which the unit is or is proposed
13to be located.
14    After January 1, 1994 and until July 1, 1998, operating
15permits issued under this Section by the Agency for sources of
16air pollution permitted to emit less than 25 tons per year of
17any combination of regulated air pollutants, as defined in
18Section 39.5 of this Act, shall be required to be renewed only
19upon written request by the Agency consistent with applicable
20provisions of this Act and regulations promulgated hereunder.
21Such operating permits shall expire 180 days after the date of
22such a request. The Board shall revise its regulations for the
23existing State air pollution operating permit program
24consistent with this provision by January 1, 1994.
25    After June 30, 1998, operating permits issued under this
26Section by the Agency for sources of air pollution that are not

 

 

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1subject to Section 39.5 of this Act and are not required to
2have a federally enforceable State operating permit shall be
3required to be renewed only upon written request by the Agency
4consistent with applicable provisions of this Act and its
5rules. Such operating permits shall expire 180 days after the
6date of such a request. Before July 1, 1998, the Board shall
7revise its rules for the existing State air pollution operating
8permit program consistent with this paragraph and shall adopt
9rules that require a source to demonstrate that it qualifies
10for a permit under this paragraph.
11    (b) The Agency may issue NPDES permits exclusively under
12this subsection for the discharge of contaminants from point
13sources into navigable waters, all as defined in the Federal
14Water Pollution Control Act, as now or hereafter amended,
15within the jurisdiction of the State, or into any well.
16    All NPDES permits shall contain those terms and conditions,
17including but not limited to schedules of compliance, which may
18be required to accomplish the purposes and provisions of this
19Act.
20    The Agency may issue general NPDES permits for discharges
21from categories of point sources which are subject to the same
22permit limitations and conditions. Such general permits may be
23issued without individual applications and shall conform to
24regulations promulgated under Section 402 of the Federal Water
25Pollution Control Act, as now or hereafter amended.
26    The Agency may include, among such conditions, effluent

 

 

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1limitations and other requirements established under this Act,
2Board regulations, the Federal Water Pollution Control Act, as
3now or hereafter amended, and regulations pursuant thereto, and
4schedules for achieving compliance therewith at the earliest
5reasonable date.
6    The Agency shall establish a monitoring protocol for the
7monitoring of discharges under NPDES permits issued to clean
8construction demolition debris sites permitted under Section
922.51. The Agency shall include these monitoring provisions to
10alert operators and the Agency if there is illegal dumping of
11contaminated materials or hazardous wastes at said site.
12    The Agency shall adopt filing requirements and procedures
13which are necessary and appropriate for the issuance of NPDES
14permits, and which are consistent with the Act or regulations
15adopted by the Board, and with the Federal Water Pollution
16Control Act, as now or hereafter amended, and regulations
17pursuant thereto.
18    The Agency, subject to any conditions which may be
19prescribed by Board regulations, may issue NPDES permits to
20allow discharges beyond deadlines established by this Act or by
21regulations of the Board without the requirement of a variance,
22subject to the Federal Water Pollution Control Act, as now or
23hereafter amended, and regulations pursuant thereto.
24    (c) Except for those facilities owned or operated by
25sanitary districts organized under the Metropolitan Water
26Reclamation District Act, no permit for the development or

 

 

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1construction of a new pollution control facility may be granted
2by the Agency unless the applicant submits proof to the Agency
3that the location of the facility has been approved by the
4County Board of the county if in an unincorporated area, or the
5governing body of the municipality when in an incorporated
6area, in which the facility is to be located in accordance with
7Section 39.2 of this Act. For purposes of this subsection (c),
8and for purposes of Section 39.2 of this Act, the appropriate
9county board or governing body of the municipality shall be the
10county board of the county or the governing body of the
11municipality in which the facility is to be located as of the
12date when the application for siting approval is filed.
13    In the event that siting approval granted pursuant to
14Section 39.2 has been transferred to a subsequent owner or
15operator, that subsequent owner or operator may apply to the
16Agency for, and the Agency may grant, a development or
17construction permit for the facility for which local siting
18approval was granted. Upon application to the Agency for a
19development or construction permit by that subsequent owner or
20operator, the permit applicant shall cause written notice of
21the permit application to be served upon the appropriate county
22board or governing body of the municipality that granted siting
23approval for that facility and upon any party to the siting
24proceeding pursuant to which siting approval was granted. In
25that event, the Agency shall conduct an evaluation of the
26subsequent owner or operator's prior experience in waste

 

 

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1management operations in the manner conducted under subsection
2(i) of Section 39 of this Act.
3    Beginning August 20, 1993, if the pollution control
4facility consists of a hazardous or solid waste disposal
5facility for which the proposed site is located in an
6unincorporated area of a county with a population of less than
7100,000 and includes all or a portion of a parcel of land that
8was, on April 1, 1993, adjacent to a municipality having a
9population of less than 5,000, then the local siting review
10required under this subsection (c) in conjunction with any
11permit applied for after that date shall be performed by the
12governing body of that adjacent municipality rather than the
13county board of the county in which the proposed site is
14located; and for the purposes of that local siting review, any
15references in this Act to the county board shall be deemed to
16mean the governing body of that adjacent municipality;
17provided, however, that the provisions of this paragraph shall
18not apply to any proposed site which was, on April 1, 1993,
19owned in whole or in part by another municipality.
20    In the case of a pollution control facility for which a
21development permit was issued before November 12, 1981, if an
22operating permit has not been issued by the Agency prior to
23August 31, 1989 for any portion of the facility, then the
24Agency may not issue or renew any development permit nor issue
25an original operating permit for any portion of such facility
26unless the applicant has submitted proof to the Agency that the

 

 

10000HB3342sam002- 52 -LRB100 08528 MJP 40203 a

1location of the facility has been approved by the appropriate
2county board or municipal governing body pursuant to Section
339.2 of this Act.
4    After January 1, 1994, if a solid waste disposal facility,
5any portion for which an operating permit has been issued by
6the Agency, has not accepted waste disposal for 5 or more
7consecutive calendars years, before that facility may accept
8any new or additional waste for disposal, the owner and
9operator must obtain a new operating permit under this Act for
10that facility unless the owner and operator have applied to the
11Agency for a permit authorizing the temporary suspension of
12waste acceptance. The Agency may not issue a new operation
13permit under this Act for the facility unless the applicant has
14submitted proof to the Agency that the location of the facility
15has been approved or re-approved by the appropriate county
16board or municipal governing body under Section 39.2 of this
17Act after the facility ceased accepting waste.
18    Except for those facilities owned or operated by sanitary
19districts organized under the Metropolitan Water Reclamation
20District Act, and except for new pollution control facilities
21governed by Section 39.2, and except for fossil fuel mining
22facilities, the granting of a permit under this Act shall not
23relieve the applicant from meeting and securing all necessary
24zoning approvals from the unit of government having zoning
25jurisdiction over the proposed facility.
26    Before beginning construction on any new sewage treatment

 

 

10000HB3342sam002- 53 -LRB100 08528 MJP 40203 a

1plant or sludge drying site to be owned or operated by a
2sanitary district organized under the Metropolitan Water
3Reclamation District Act for which a new permit (rather than
4the renewal or amendment of an existing permit) is required,
5such sanitary district shall hold a public hearing within the
6municipality within which the proposed facility is to be
7located, or within the nearest community if the proposed
8facility is to be located within an unincorporated area, at
9which information concerning the proposed facility shall be
10made available to the public, and members of the public shall
11be given the opportunity to express their views concerning the
12proposed facility.
13    The Agency may issue a permit for a municipal waste
14transfer station without requiring approval pursuant to
15Section 39.2 provided that the following demonstration is made:
16        (1) the municipal waste transfer station was in
17    existence on or before January 1, 1979 and was in
18    continuous operation from January 1, 1979 to January 1,
19    1993;
20        (2) the operator submitted a permit application to the
21    Agency to develop and operate the municipal waste transfer
22    station during April of 1994;
23        (3) the operator can demonstrate that the county board
24    of the county, if the municipal waste transfer station is
25    in an unincorporated area, or the governing body of the
26    municipality, if the station is in an incorporated area,

 

 

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1    does not object to resumption of the operation of the
2    station; and
3        (4) the site has local zoning approval.
4    (d) The Agency may issue RCRA permits exclusively under
5this subsection to persons owning or operating a facility for
6the treatment, storage, or disposal of hazardous waste as
7defined under this Act.
8    All RCRA permits shall contain those terms and conditions,
9including but not limited to schedules of compliance, which may
10be required to accomplish the purposes and provisions of this
11Act. The Agency may include among such conditions standards and
12other requirements established under this Act, Board
13regulations, the Resource Conservation and Recovery Act of 1976
14(P.L. 94-580), as amended, and regulations pursuant thereto,
15and may include schedules for achieving compliance therewith as
16soon as possible. The Agency shall require that a performance
17bond or other security be provided as a condition for the
18issuance of a RCRA permit.
19    In the case of a permit to operate a hazardous waste or PCB
20incinerator as defined in subsection (k) of Section 44, the
21Agency shall require, as a condition of the permit, that the
22operator of the facility perform such analyses of the waste to
23be incinerated as may be necessary and appropriate to ensure
24the safe operation of the incinerator.
25    The Agency shall adopt filing requirements and procedures
26which are necessary and appropriate for the issuance of RCRA

 

 

10000HB3342sam002- 55 -LRB100 08528 MJP 40203 a

1permits, and which are consistent with the Act or regulations
2adopted by the Board, and with the Resource Conservation and
3Recovery Act of 1976 (P.L. 94-580), as amended, and regulations
4pursuant thereto.
5    The applicant shall make available to the public for
6inspection all documents submitted by the applicant to the
7Agency in furtherance of an application, with the exception of
8trade secrets, at the office of the county board or governing
9body of the municipality. Such documents may be copied upon
10payment of the actual cost of reproduction during regular
11business hours of the local office. The Agency shall issue a
12written statement concurrent with its grant or denial of the
13permit explaining the basis for its decision.
14    (e) The Agency may issue UIC permits exclusively under this
15subsection to persons owning or operating a facility for the
16underground injection of contaminants as defined under this
17Act.
18    All UIC permits shall contain those terms and conditions,
19including but not limited to schedules of compliance, which may
20be required to accomplish the purposes and provisions of this
21Act. The Agency may include among such conditions standards and
22other requirements established under this Act, Board
23regulations, the Safe Drinking Water Act (P.L. 93-523), as
24amended, and regulations pursuant thereto, and may include
25schedules for achieving compliance therewith. The Agency shall
26require that a performance bond or other security be provided

 

 

10000HB3342sam002- 56 -LRB100 08528 MJP 40203 a

1as a condition for the issuance of a UIC permit.
2    The Agency shall adopt filing requirements and procedures
3which are necessary and appropriate for the issuance of UIC
4permits, and which are consistent with the Act or regulations
5adopted by the Board, and with the Safe Drinking Water Act
6(P.L. 93-523), as amended, and regulations pursuant thereto.
7    The applicant shall make available to the public for
8inspection, all documents submitted by the applicant to the
9Agency in furtherance of an application, with the exception of
10trade secrets, at the office of the county board or governing
11body of the municipality. Such documents may be copied upon
12payment of the actual cost of reproduction during regular
13business hours of the local office. The Agency shall issue a
14written statement concurrent with its grant or denial of the
15permit explaining the basis for its decision.
16    (f) In making any determination pursuant to Section 9.1 of
17this Act:
18        (1) The Agency shall have authority to make the
19    determination of any question required to be determined by
20    the Clean Air Act, as now or hereafter amended, this Act,
21    or the regulations of the Board, including the
22    determination of the Lowest Achievable Emission Rate,
23    Maximum Achievable Control Technology, or Best Available
24    Control Technology, consistent with the Board's
25    regulations, if any.
26        (2) The Agency shall adopt requirements as necessary to

 

 

10000HB3342sam002- 57 -LRB100 08528 MJP 40203 a

1    implement public participation procedures, including, but
2    not limited to, public notice, comment, and an opportunity
3    for hearing, which must accompany the processing of
4    applications for PSD permits. The Agency shall briefly
5    describe and respond to all significant comments on the
6    draft permit raised during the public comment period or
7    during any hearing. The Agency may group related comments
8    together and provide one unified response for each issue
9    raised.
10        (3) Any complete permit application submitted to the
11    Agency under this subsection for a PSD permit shall be
12    granted or denied by the Agency not later than one year
13    after the filing of such completed application.
14        (4) The Agency shall, after conferring with the
15    applicant, give written notice to the applicant of its
16    proposed decision on the application including the terms
17    and conditions of the permit to be issued and the facts,
18    conduct or other basis upon which the Agency will rely to
19    support its proposed action.
20    (g) The Agency shall include as conditions upon all permits
21issued for hazardous waste disposal sites such restrictions
22upon the future use of such sites as are reasonably necessary
23to protect public health and the environment, including
24permanent prohibition of the use of such sites for purposes
25which may create an unreasonable risk of injury to human health
26or to the environment. After administrative and judicial

 

 

10000HB3342sam002- 58 -LRB100 08528 MJP 40203 a

1challenges to such restrictions have been exhausted, the Agency
2shall file such restrictions of record in the Office of the
3Recorder of the county in which the hazardous waste disposal
4site is located.
5    (h) A hazardous waste stream may not be deposited in a
6permitted hazardous waste site unless specific authorization
7is obtained from the Agency by the generator and disposal site
8owner and operator for the deposit of that specific hazardous
9waste stream. The Agency may grant specific authorization for
10disposal of hazardous waste streams only after the generator
11has reasonably demonstrated that, considering technological
12feasibility and economic reasonableness, the hazardous waste
13cannot be reasonably recycled for reuse, nor incinerated or
14chemically, physically or biologically treated so as to
15neutralize the hazardous waste and render it nonhazardous. In
16granting authorization under this Section, the Agency may
17impose such conditions as may be necessary to accomplish the
18purposes of the Act and are consistent with this Act and
19regulations promulgated by the Board hereunder. If the Agency
20refuses to grant authorization under this Section, the
21applicant may appeal as if the Agency refused to grant a
22permit, pursuant to the provisions of subsection (a) of Section
2340 of this Act. For purposes of this subsection (h), the term
24"generator" has the meaning given in Section 3.205 of this Act,
25unless: (1) the hazardous waste is treated, incinerated, or
26partially recycled for reuse prior to disposal, in which case

 

 

10000HB3342sam002- 59 -LRB100 08528 MJP 40203 a

1the last person who treats, incinerates, or partially recycles
2the hazardous waste prior to disposal is the generator; or (2)
3the hazardous waste is from a response action, in which case
4the person performing the response action is the generator.
5This subsection (h) does not apply to any hazardous waste that
6is restricted from land disposal under 35 Ill. Adm. Code 728.
7    (i) Before issuing any RCRA permit, any permit for a waste
8storage site, sanitary landfill, waste disposal site, waste
9transfer station, waste treatment facility, waste incinerator,
10or any waste-transportation operation, any permit or interim
11authorization for a clean construction or demolition debris
12fill operation, or any permit required under subsection (d-5)
13of Section 55, the Agency shall conduct an evaluation of the
14prospective owner's or operator's prior experience in waste
15management operations, clean construction or demolition debris
16fill operations, and tire storage site management. The Agency
17may deny such a permit, or deny or revoke interim
18authorization, if the prospective owner or operator or any
19employee or officer of the prospective owner or operator has a
20history of:
21        (1) repeated violations of federal, State, or local
22    laws, regulations, standards, or ordinances in the
23    operation of waste management facilities or sites, clean
24    construction or demolition debris fill operation
25    facilities or sites, or tire storage sites; or
26        (2) conviction in this or another State of any crime

 

 

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1    which is a felony under the laws of this State, or
2    conviction of a felony in a federal court; or conviction in
3    this or another state or federal court of any of the
4    following crimes: forgery, official misconduct, bribery,
5    perjury, or knowingly submitting false information under
6    any environmental law, regulation, or permit term or
7    condition; or
8        (3) proof of gross carelessness or incompetence in
9    handling, storing, processing, transporting or disposing
10    of waste, clean construction or demolition debris, or used
11    or waste tires, or proof of gross carelessness or
12    incompetence in using clean construction or demolition
13    debris as fill.
14    (i-5) Before issuing any permit or approving any interim
15authorization for a clean construction or demolition debris
16fill operation in which any ownership interest is transferred
17between January 1, 2005, and the effective date of the
18prohibition set forth in Section 22.52 of this Act, the Agency
19shall conduct an evaluation of the operation if any previous
20activities at the site or facility may have caused or allowed
21contamination of the site. It shall be the responsibility of
22the owner or operator seeking the permit or interim
23authorization to provide to the Agency all of the information
24necessary for the Agency to conduct its evaluation. The Agency
25may deny a permit or interim authorization if previous
26activities at the site may have caused or allowed contamination

 

 

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1at the site, unless such contamination is authorized under any
2permit issued by the Agency.
3    (j) The issuance under this Act of a permit to engage in
4the surface mining of any resources other than fossil fuels
5shall not relieve the permittee from its duty to comply with
6any applicable local law regulating the commencement, location
7or operation of surface mining facilities.
8    (k) A development permit issued under subsection (a) of
9Section 39 for any facility or site which is required to have a
10permit under subsection (d) of Section 21 shall expire at the
11end of 2 calendar years from the date upon which it was issued,
12unless within that period the applicant has taken action to
13develop the facility or the site. In the event that review of
14the conditions of the development permit is sought pursuant to
15Section 40 or 41, or permittee is prevented from commencing
16development of the facility or site by any other litigation
17beyond the permittee's control, such two-year period shall be
18deemed to begin on the date upon which such review process or
19litigation is concluded.
20    (l) No permit shall be issued by the Agency under this Act
21for construction or operation of any facility or site located
22within the boundaries of any setback zone established pursuant
23to this Act, where such construction or operation is
24prohibited.
25    (m) The Agency may issue permits to persons owning or
26operating a facility for composting landscape waste. In

 

 

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1granting such permits, the Agency may impose such conditions as
2may be necessary to accomplish the purposes of this Act, and as
3are not inconsistent with applicable regulations promulgated
4by the Board. Except as otherwise provided in this Act, a bond
5or other security shall not be required as a condition for the
6issuance of a permit. If the Agency denies any permit pursuant
7to this subsection, the Agency shall transmit to the applicant
8within the time limitations of this subsection specific,
9detailed statements as to the reasons the permit application
10was denied. Such statements shall include but not be limited to
11the following:
12        (1) the Sections of this Act that may be violated if
13    the permit were granted;
14        (2) the specific regulations promulgated pursuant to
15    this Act that may be violated if the permit were granted;
16        (3) the specific information, if any, the Agency deems
17    the applicant did not provide in its application to the
18    Agency; and
19        (4) a statement of specific reasons why the Act and the
20    regulations might be violated if the permit were granted.
21    If no final action is taken by the Agency within 90 days
22after the filing of the application for permit, the applicant
23may deem the permit issued. Any applicant for a permit may
24waive the 90-day limitation by filing a written statement with
25the Agency.
26    The Agency shall issue permits for such facilities upon

 

 

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1receipt of an application that includes a legal description of
2the site, a topographic map of the site drawn to the scale of
3200 feet to the inch or larger, a description of the operation,
4including the area served, an estimate of the volume of
5materials to be processed, and documentation that:
6        (1) the facility includes a setback of at least 200
7    feet from the nearest potable water supply well;
8        (2) the facility is located outside the boundary of the
9    10-year floodplain or the site will be floodproofed;
10        (3) the facility is located so as to minimize
11    incompatibility with the character of the surrounding
12    area, including at least a 200 foot setback from any
13    residence, and in the case of a facility that is developed
14    or the permitted composting area of which is expanded after
15    November 17, 1991, the composting area is located at least
16    1/8 mile from the nearest residence (other than a residence
17    located on the same property as the facility);
18        (4) the design of the facility will prevent any compost
19    material from being placed within 5 feet of the water
20    table, will adequately control runoff from the site, and
21    will collect and manage any leachate that is generated on
22    the site;
23        (5) the operation of the facility will include
24    appropriate dust and odor control measures, limitations on
25    operating hours, appropriate noise control measures for
26    shredding, chipping and similar equipment, management

 

 

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1    procedures for composting, containment and disposal of
2    non-compostable wastes, procedures to be used for
3    terminating operations at the site, and recordkeeping
4    sufficient to document the amount of materials received,
5    composted and otherwise disposed of; and
6        (6) the operation will be conducted in accordance with
7    any applicable rules adopted by the Board.
8    The Agency shall issue renewable permits of not longer than
910 years in duration for the composting of landscape wastes, as
10defined in Section 3.155 of this Act, based on the above
11requirements.
12    The operator of any facility permitted under this
13subsection (m) must submit a written annual statement to the
14Agency on or before April 1 of each year that includes an
15estimate of the amount of material, in tons, received for
16composting.
17    (n) The Agency shall issue permits jointly with the
18Department of Transportation for the dredging or deposit of
19material in Lake Michigan in accordance with Section 18 of the
20Rivers, Lakes, and Streams Act.
21    (o) (Blank.)
22    (p) (1) Any person submitting an application for a permit
23for a new MSWLF unit or for a lateral expansion under
24subsection (t) of Section 21 of this Act for an existing MSWLF
25unit that has not received and is not subject to local siting
26approval under Section 39.2 of this Act shall publish notice of

 

 

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1the application in a newspaper of general circulation in the
2county in which the MSWLF unit is or is proposed to be located.
3The notice must be published at least 15 days before submission
4of the permit application to the Agency. The notice shall state
5the name and address of the applicant, the location of the
6MSWLF unit or proposed MSWLF unit, the nature and size of the
7MSWLF unit or proposed MSWLF unit, the nature of the activity
8proposed, the probable life of the proposed activity, the date
9the permit application will be submitted, and a statement that
10persons may file written comments with the Agency concerning
11the permit application within 30 days after the filing of the
12permit application unless the time period to submit comments is
13extended by the Agency.
14    When a permit applicant submits information to the Agency
15to supplement a permit application being reviewed by the
16Agency, the applicant shall not be required to reissue the
17notice under this subsection.
18    (2) The Agency shall accept written comments concerning the
19permit application that are postmarked no later than 30 days
20after the filing of the permit application, unless the time
21period to accept comments is extended by the Agency.
22    (3) Each applicant for a permit described in part (1) of
23this subsection shall file a copy of the permit application
24with the county board or governing body of the municipality in
25which the MSWLF unit is or is proposed to be located at the
26same time the application is submitted to the Agency. The

 

 

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1permit application filed with the county board or governing
2body of the municipality shall include all documents submitted
3to or to be submitted to the Agency, except trade secrets as
4determined under Section 7.1 of this Act. The permit
5application and other documents on file with the county board
6or governing body of the municipality shall be made available
7for public inspection during regular business hours at the
8office of the county board or the governing body of the
9municipality and may be copied upon payment of the actual cost
10of reproduction.
11    (q) Within 6 months after July 12, 2011 (the effective date
12of Public Act 97-95), the Agency, in consultation with the
13regulated community, shall develop a web portal to be posted on
14its website for the purpose of enhancing review and promoting
15timely issuance of permits required by this Act. At a minimum,
16the Agency shall make the following information available on
17the web portal:
18        (1) Checklists and guidance relating to the completion
19    of permit applications, developed pursuant to subsection
20    (s) of this Section, which may include, but are not limited
21    to, existing instructions for completing the applications
22    and examples of complete applications. As the Agency
23    develops new checklists and develops guidance, it shall
24    supplement the web portal with those materials.
25        (2) Within 2 years after July 12, 2011 (the effective
26    date of Public Act 97-95), permit application forms or

 

 

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1    portions of permit applications that can be completed and
2    saved electronically, and submitted to the Agency
3    electronically with digital signatures.
4        (3) Within 2 years after July 12, 2011 (the effective
5    date of Public Act 97-95), an online tracking system where
6    an applicant may review the status of its pending
7    application, including the name and contact information of
8    the permit analyst assigned to the application. Until the
9    online tracking system has been developed, the Agency shall
10    post on its website semi-annual permitting efficiency
11    tracking reports that include statistics on the timeframes
12    for Agency action on the following types of permits
13    received after July 12, 2011 (the effective date of Public
14    Act 97-95): air construction permits, new NPDES permits and
15    associated water construction permits, and modifications
16    of major NPDES permits and associated water construction
17    permits. The reports must be posted by February 1 and
18    August 1 each year and shall include:
19            (A) the number of applications received for each
20        type of permit, the number of applications on which the
21        Agency has taken action, and the number of applications
22        still pending; and
23            (B) for those applications where the Agency has not
24        taken action in accordance with the timeframes set
25        forth in this Act, the date the application was
26        received and the reasons for any delays, which may

 

 

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1        include, but shall not be limited to, (i) the
2        application being inadequate or incomplete, (ii)
3        scientific or technical disagreements with the
4        applicant, USEPA, or other local, state, or federal
5        agencies involved in the permitting approval process,
6        (iii) public opposition to the permit, or (iv) Agency
7        staffing shortages. To the extent practicable, the
8        tracking report shall provide approximate dates when
9        cause for delay was identified by the Agency, when the
10        Agency informed the applicant of the problem leading to
11        the delay, and when the applicant remedied the reason
12        for the delay.
13    (r) Upon the request of the applicant, the Agency shall
14notify the applicant of the permit analyst assigned to the
15application upon its receipt.
16    (s) The Agency is authorized to prepare and distribute
17guidance documents relating to its administration of this
18Section and procedural rules implementing this Section.
19Guidance documents prepared under this subsection shall not be
20considered rules and shall not be subject to the Illinois
21Administrative Procedure Act. Such guidance shall not be
22binding on any party.
23    (t) Except as otherwise prohibited by federal law or
24regulation, any person submitting an application for a permit
25may include with the application suggested permit language for
26Agency consideration. The Agency is not obligated to use the

 

 

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1suggested language or any portion thereof in its permitting
2decision. If requested by the permit applicant, the Agency
3shall meet with the applicant to discuss the suggested
4language.
5    (u) If requested by the permit applicant, the Agency shall
6provide the permit applicant with a copy of the draft permit
7prior to any public review period.
8    (v) If requested by the permit applicant, the Agency shall
9provide the permit applicant with a copy of the final permit
10prior to its issuance.
11    (w) An air pollution permit shall not be required due to
12emissions of greenhouse gases, as specified by Section 9.15 of
13this Act.
14    (x) If, before the expiration of a State operating permit
15that is issued pursuant to subsection (a) of this Section and
16contains federally enforceable conditions limiting the
17potential to emit of the source to a level below the major
18source threshold for that source so as to exclude the source
19from the Clean Air Act Permit Program, the Agency receives a
20complete application for the renewal of that permit, then all
21of the terms and conditions of the permit shall remain in
22effect until final administrative action has been taken on the
23application for the renewal of the permit.
24(Source: P.A. 98-284, eff. 8-9-13; 99-396, eff. 8-18-15;
2599-463, eff. 1-1-16; 99-642, eff. 7-28-16.)
 

 

 

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1    (415 ILCS 5/42)  (from Ch. 111 1/2, par. 1042)
2    Sec. 42. Civil penalties.
3    (a) Except as provided in this Section, any person that
4violates any provision of this Act or any regulation adopted by
5the Board, or any permit or term or condition thereof, or that
6violates any order of the Board pursuant to this Act, shall be
7liable for a civil penalty of not to exceed $50,000 for the
8violation and an additional civil penalty of not to exceed
9$10,000 for each day during which the violation continues; such
10penalties may, upon order of the Board or a court of competent
11jurisdiction, be made payable to the Environmental Protection
12Trust Fund, to be used in accordance with the provisions of the
13Environmental Protection Trust Fund Act.
14    (b) Notwithstanding the provisions of subsection (a) of
15this Section:
16        (1) Any person that violates Section 12(f) of this Act
17    or any NPDES permit or term or condition thereof, or any
18    filing requirement, regulation or order relating to the
19    NPDES permit program, shall be liable to a civil penalty of
20    not to exceed $10,000 per day of violation.
21        (2) Any person that violates Section 12(g) of this Act
22    or any UIC permit or term or condition thereof, or any
23    filing requirement, regulation or order relating to the
24    State UIC program for all wells, except Class II wells as
25    defined by the Board under this Act, shall be liable to a
26    civil penalty not to exceed $2,500 per day of violation;

 

 

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1    provided, however, that any person who commits such
2    violations relating to the State UIC program for Class II
3    wells, as defined by the Board under this Act, shall be
4    liable to a civil penalty of not to exceed $10,000 for the
5    violation and an additional civil penalty of not to exceed
6    $1,000 for each day during which the violation continues.
7        (3) Any person that violates Sections 21(f), 21(g),
8    21(h) or 21(i) of this Act, or any RCRA permit or term or
9    condition thereof, or any filing requirement, regulation
10    or order relating to the State RCRA program, shall be
11    liable to a civil penalty of not to exceed $25,000 per day
12    of violation.
13        (4) In an administrative citation action under Section
14    31.1 of this Act, any person found to have violated any
15    provision of subsection (o) of Section 21 of this Act shall
16    pay a civil penalty of $500 for each violation of each such
17    provision, plus any hearing costs incurred by the Board and
18    the Agency. Such penalties shall be made payable to the
19    Environmental Protection Trust Fund, to be used in
20    accordance with the provisions of the Environmental
21    Protection Trust Fund Act; except that if a unit of local
22    government issued the administrative citation, 50% of the
23    civil penalty shall be payable to the unit of local
24    government.
25        (4-5) In an administrative citation action under
26    Section 31.1 of this Act, any person found to have violated

 

 

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1    any provision of subsection (p) of Section 21, Section
2    22.51, Section 22.51a, or subsection (k) of Section 55 of
3    this Act, or any rule adopted under Section 22.51 or
4    Section 22.51a of this Act, shall pay a civil penalty of
5    $1,500 for each violation of each such provision, plus any
6    hearing costs incurred by the Board and the Agency, except
7    that the civil penalty amount shall be $3,000 for each
8    violation of any provision of subsection (p) of Section 21,
9    Section 22.51, Section 22.51a, or subsection (k) of Section
10    55, or any rule adopted under Section 22.51 or Section
11    22.51a of this Act, that is the person's second or
12    subsequent adjudicated adjudication violation of that
13    provision. The penalties shall be deposited into the
14    Environmental Protection Trust Fund, to be used in
15    accordance with the provisions of the Environmental
16    Protection Trust Fund Act; except that if a unit of local
17    government issued the administrative citation, 50% of the
18    civil penalty shall be payable to the unit of local
19    government.
20        (5) Any person who violates subsection 6 of Section
21    39.5 of this Act or any CAAPP permit, or term or condition
22    thereof, or any fee or filing requirement, or any duty to
23    allow or carry out inspection, entry or monitoring
24    activities, or any regulation or order relating to the
25    CAAPP shall be liable for a civil penalty not to exceed
26    $10,000 per day of violation.

 

 

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1        (6) Any owner or operator of a community water system
2    that violates subsection (b) of Section 18.1 or subsection
3    (a) of Section 25d-3 of this Act shall, for each day of
4    violation, be liable for a civil penalty not to exceed $5
5    for each of the premises connected to the affected
6    community water system.
7        (7) Any person who violates Section 52.5 of this Act
8    shall be liable for a civil penalty of up to $1,000 for the
9    first violation of that Section and a civil penalty of up
10    to $2,500 for a second or subsequent violation of that
11    Section.
12    (b.5) In lieu of the penalties set forth in subsections (a)
13and (b) of this Section, any person who fails to file, in a
14timely manner, toxic chemical release forms with the Agency
15pursuant to Section 25b-2 of this Act shall be liable for a
16civil penalty of $100 per day for each day the forms are late,
17not to exceed a maximum total penalty of $6,000. This daily
18penalty shall begin accruing on the thirty-first day after the
19date that the person receives the warning notice issued by the
20Agency pursuant to Section 25b-6 of this Act; and the penalty
21shall be paid to the Agency. The daily accrual of penalties
22shall cease as of January 1 of the following year. All
23penalties collected by the Agency pursuant to this subsection
24shall be deposited into the Environmental Protection Permit and
25Inspection Fund.
26    (c) Any person that violates this Act, any rule or

 

 

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1regulation adopted under this Act, any permit or term or
2condition of a permit, or any Board order and causes the death
3of fish or aquatic life shall, in addition to the other
4penalties provided by this Act, be liable to pay to the State
5an additional sum for the reasonable value of the fish or
6aquatic life destroyed. Any money so recovered shall be placed
7in the Wildlife and Fish Fund in the State Treasury.
8    (d) The penalties provided for in this Section may be
9recovered in a civil action.
10    (e) The State's Attorney of the county in which the
11violation occurred, or the Attorney General, may, at the
12request of the Agency or on his own motion, institute a civil
13action for an injunction, prohibitory or mandatory, to restrain
14violations of this Act, any rule or regulation adopted under
15this Act, any permit or term or condition of a permit, or any
16Board order, or to require such other actions as may be
17necessary to address violations of this Act, any rule or
18regulation adopted under this Act, any permit or term or
19condition of a permit, or any Board order.
20    (f) The State's Attorney of the county in which the
21violation occurred, or the Attorney General, shall bring such
22actions in the name of the people of the State of Illinois.
23Without limiting any other authority which may exist for the
24awarding of attorney's fees and costs, the Board or a court of
25competent jurisdiction may award costs and reasonable
26attorney's fees, including the reasonable costs of expert

 

 

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1witnesses and consultants, to the State's Attorney or the
2Attorney General in a case where he has prevailed against a
3person who has committed a willful wilful, knowing, or repeated
4violation of this Act, any rule or regulation adopted under
5this Act, any permit or term or condition of a permit, or any
6Board order.
7    Any funds collected under this subsection (f) in which the
8Attorney General has prevailed shall be deposited in the
9Hazardous Waste Fund created in Section 22.2 of this Act. Any
10funds collected under this subsection (f) in which a State's
11Attorney has prevailed shall be retained by the county in which
12he serves.
13    (g) All final orders imposing civil penalties pursuant to
14this Section shall prescribe the time for payment of such
15penalties. If any such penalty is not paid within the time
16prescribed, interest on such penalty at the rate set forth in
17subsection (a) of Section 1003 of the Illinois Income Tax Act,
18shall be paid for the period from the date payment is due until
19the date payment is received. However, if the time for payment
20is stayed during the pendency of an appeal, interest shall not
21accrue during such stay.
22    (h) In determining the appropriate civil penalty to be
23imposed under subdivisions (a), (b)(1), (b)(2), (b)(3),
24(b)(5), (b)(6), or (b)(7) of this Section, the Board is
25authorized to consider any matters of record in mitigation or
26aggravation of penalty, including, but not limited to, the

 

 

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1following factors:
2        (1) the duration and gravity of the violation;
3        (2) the presence or absence of due diligence on the
4    part of the respondent in attempting to comply with
5    requirements of this Act and regulations thereunder or to
6    secure relief therefrom as provided by this Act;
7        (3) any economic benefits accrued by the respondent
8    because of delay in compliance with requirements, in which
9    case the economic benefits shall be determined by the
10    lowest cost alternative for achieving compliance;
11        (4) the amount of monetary penalty which will serve to
12    deter further violations by the respondent and to otherwise
13    aid in enhancing voluntary compliance with this Act by the
14    respondent and other persons similarly subject to the Act;
15        (5) the number, proximity in time, and gravity of
16    previously adjudicated violations of this Act by the
17    respondent;
18        (6) whether the respondent voluntarily self-disclosed,
19    in accordance with subsection (i) of this Section, the
20    non-compliance to the Agency;
21        (7) whether the respondent has agreed to undertake a
22    "supplemental environmental project"," which means an
23    environmentally beneficial project that a respondent
24    agrees to undertake in settlement of an enforcement action
25    brought under this Act, but which the respondent is not
26    otherwise legally required to perform; and

 

 

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1        (8) whether the respondent has successfully completed
2    a Compliance Commitment Agreement under subsection (a) of
3    Section 31 of this Act to remedy the violations that are
4    the subject of the complaint.
5    In determining the appropriate civil penalty to be imposed
6under subsection (a) or paragraph (1), (2), (3), (5), (6), or
7(7) of subsection (b) of this Section, the Board shall ensure,
8in all cases, that the penalty is at least as great as the
9economic benefits, if any, accrued by the respondent as a
10result of the violation, unless the Board finds that imposition
11of such penalty would result in an arbitrary or unreasonable
12financial hardship. However, such civil penalty may be off-set
13in whole or in part pursuant to a supplemental environmental
14project agreed to by the complainant and the respondent.
15    (i) A person who voluntarily self-discloses non-compliance
16to the Agency, of which the Agency had been unaware, is
17entitled to a 100% reduction in the portion of the penalty that
18is not based on the economic benefit of non-compliance if the
19person can establish the following:
20        (1) that either the regulated entity is a small entity
21    or the non-compliance was discovered through an
22    environmental audit or a compliance management system
23    documented by the regulated entity as reflecting the
24    regulated entity's due diligence in preventing, detecting,
25    and correcting violations;
26        (2) that the non-compliance was disclosed in writing

 

 

10000HB3342sam002- 78 -LRB100 08528 MJP 40203 a

1    within 30 days of the date on which the person discovered
2    it;
3        (3) that the non-compliance was discovered and
4    disclosed prior to:
5            (i) the commencement of an Agency inspection,
6        investigation, or request for information;
7            (ii) notice of a citizen suit;
8            (iii) the filing of a complaint by a citizen, the
9        Illinois Attorney General, or the State's Attorney of
10        the county in which the violation occurred;
11            (iv) the reporting of the non-compliance by an
12        employee of the person without that person's
13        knowledge; or
14            (v) imminent discovery of the non-compliance by
15        the Agency;
16        (4) that the non-compliance is being corrected and any
17    environmental harm is being remediated in a timely fashion;
18        (5) that the person agrees to prevent a recurrence of
19    the non-compliance;
20        (6) that no related non-compliance events have
21    occurred in the past 3 years at the same facility or in the
22    past 5 years as part of a pattern at multiple facilities
23    owned or operated by the person;
24        (7) that the non-compliance did not result in serious
25    actual harm or present an imminent and substantial
26    endangerment to human health or the environment or violate

 

 

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1    the specific terms of any judicial or administrative order
2    or consent agreement;
3        (8) that the person cooperates as reasonably requested
4    by the Agency after the disclosure; and
5        (9) that the non-compliance was identified voluntarily
6    and not through a monitoring, sampling, or auditing
7    procedure that is required by statute, rule, permit,
8    judicial or administrative order, or consent agreement.
9    If a person can establish all of the elements under this
10subsection except the element set forth in paragraph (1) of
11this subsection, the person is entitled to a 75% reduction in
12the portion of the penalty that is not based upon the economic
13benefit of non-compliance.
14    For the purposes of this subsection (i), "small entity" has
15the same meaning as in Section 221 of the federal Small
16Business Regulatory Enforcement Fairness Act of 1996 (5 U.S.C.
17601).
18    (j) In addition to any other remedy or penalty that may
19apply, whether civil or criminal, any person who violates
20Section 22.52 of this Act shall be liable for an additional
21civil penalty of up to 3 times the gross amount of any
22pecuniary gain resulting from the violation.
23    (k) In addition to any other remedy or penalty that may
24apply, whether civil or criminal, any person who violates
25subdivision (a)(7.6) of Section 31 of this Act shall be liable
26for an additional civil penalty of $2,000.

 

 

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1(Source: P.A. 99-934, eff. 1-27-17; 100-436, eff. 8-25-17;
2revised 1-22-18.)
 
3    (415 ILCS 5/58.19 new)
4    Sec. 58.19. Concentrations of inorganic chemicals in
5background soils.
6    (a) No later than January 1, 2019, the Agency shall:
7        (1) review available peer-reviewed data and surveys
8    concerning the statewide area background concentrations of
9    the inorganic chemicals listed in Table G of Appendix A of
10    35 Ill. Adm. Code 742, including, but not limited to,
11    Illinois State Geological Survey Circular 590 (2017),
12    "Inorganic Chemical Composition of Illinois Soils";
13        (2) use the information reviewed under paragraph (1)
14    and one or more statistically valid methods to determine
15    the statewide area background concentrations of the
16    inorganic chemicals listed in Table G of Appendix A of 35
17    Ill. Adm. Code 742; and
18        (3) submit to the Board any proposed revisions to Table
19    G of Appendix A of 35 Ill. Adm. Code 742 that the Agency
20    deems necessary for the values in that table to reflect
21    statewide area background concentrations of the listed
22    chemicals.
23    (b) Within one year after receipt of the Agency's proposal,
24the Board shall adopt revisions to Table G of Appendix A of 35
25Ill. Adm. Code 742 that are based upon the proposal submitted

 

 

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1to the Board under subsection (a) of this Section.
2    (c) On and after the adoption of rules under subsection
3(b), if a clean construction or demolition debris fill
4operation or an uncontaminated soil fill operation is found to
5have exceeded any of the concentrations under Table G of
6Appendix A of 35 Ill. Adm. Code 742 on 3 separate occasions,
7then the Agency may: (1) close the clean construction or
8demolition debris fill operation or the uncontaminated soil
9fill operation; or (2) impose groundwater monitoring on the
10clean construction or demolition debris fill operation or the
11uncontaminated soil fill operation. This subsection applies to
12aggregate violations if an owner or operator owns or operates
13multiple clean construction or demolition debris fill
14operations or uncontaminated soil fill operations. The Agency
15may adopt any rules necessary to implement this subsection.
 
16    Section 99. Effective date. This Act takes effect upon
17becoming law.".