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Public Act 096-0908 |
SB3320 Enrolled |
LRB096 19895 JDS 35355 b |
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AN ACT concerning safety.
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Be it enacted by the People of the State of Illinois, |
represented in the General Assembly:
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Section 5. The Environmental Protection Act is amended by |
changing Sections 57.7, 57.9, 57.11, and 57.13 and by adding |
Sections 57.18 and 57.19 as follows: |
(415 ILCS 5/57.7) |
Sec. 57.7. Leaking underground storage tanks; site |
investigation and
corrective action. |
(a) Site investigation. |
(1) For any site investigation activities required by |
statute or rule,
the owner or operator shall submit to the |
Agency for approval a site
investigation plan designed to |
determine the nature, concentration, direction
of |
movement, rate of movement, and extent of the contamination |
as well as the
significant physical features of the site |
and surrounding area that may affect
contaminant transport |
and risk to human health and safety and the environment. |
(2) Any owner or operator intending to seek payment |
from the Fund shall
submit to the Agency for approval a |
site investigation budget that includes,
but is not limited |
to, an accounting of all costs associated with the
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implementation and completion of the site investigation |
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plan. |
(3) Remediation objectives for the applicable |
indicator contaminants
shall be determined using the |
tiered approach to corrective action objectives
rules |
adopted by the Board pursuant to this Title and Title XVII |
of this Act.
For the purposes of this Title, "Contaminant |
of Concern" or "Regulated
Substance of Concern" in the |
rules means the applicable indicator contaminants
set |
forth in subsection (d) of this Section and the rules |
adopted thereunder. |
(4) Upon the Agency's approval of a site investigation |
plan, or as
otherwise directed by the Agency, the owner or |
operator shall conduct a site
investigation in accordance |
with the plan. |
(5) Within 30 days after completing the site |
investigation, the owner
or operator shall submit to the |
Agency for approval a site investigation
completion |
report. At a minimum the report shall include all of the |
following: |
(A) Executive summary. |
(B) Site history. |
(C) Site-specific sampling methods and results. |
(D) Documentation of all field activities, |
including quality assurance. |
(E) Documentation regarding the development of |
proposed remediation
objectives. |
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(F) Interpretation of results. |
(G) Conclusions. |
(b) Corrective action. |
(1) If the site investigation confirms none of the |
applicable indicator
contaminants exceed the proposed |
remediation objectives, within 30 days after
completing |
the site investigation the owner or operator shall submit |
to the
Agency for approval a corrective action completion |
report in accordance with
this Section. |
(2) If any of the applicable indicator contaminants |
exceed the
remediation objectives approved for the site, |
within 30 days after the Agency
approves the site |
investigation completion report the owner or operator |
shall
submit to the Agency for approval a corrective action |
plan designed to mitigate
any threat to human health, human |
safety, or the environment resulting from the
underground |
storage tank release. The plan shall describe the selected |
remedy
and evaluate its ability and effectiveness to |
achieve the remediation
objectives approved for the site. |
At a minimum, the report shall include all
of the |
following: |
(A) Executive summary. |
(B) Statement of remediation objectives. |
(C) Remedial technologies selected. |
(D) Confirmation sampling plan. |
(E) Current and projected future use of the |
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property. |
(F) Applicable preventive, engineering, and |
institutional controls
including long-term |
reliability, operating, and maintenance plans, and
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monitoring procedures. |
(G) A schedule for implementation and completion |
of the plan. |
(3) Any owner or operator intending to seek payment |
from the Fund shall
submit to the Agency for approval a |
corrective action budget that includes,
but is not limited |
to, an accounting of all costs associated with the
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implementation and completion of the corrective action |
plan. |
(4) Upon the Agency's approval of a corrective action |
plan, or as
otherwise directed by the Agency, the owner or |
operator shall proceed with
corrective action in |
accordance with the plan. |
(5) Within 30 days after the completion of a corrective |
action plan that
achieves applicable remediation |
objectives the owner or operator shall submit
to the Agency |
for approval a corrective action completion report. The |
report
shall demonstrate whether corrective action was |
completed in accordance with
the approved corrective |
action plan and whether the remediation objectives
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approved for the site, as well as any other requirements of |
the plan, have
been achieved. |
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(6) If within 4 years after the approval of any |
corrective action plan
the applicable remediation |
objectives have not been achieved and the owner or
operator |
has not submitted a corrective action completion report, |
the owner or
operator must submit a status report for |
Agency review. The status report must
include, but is not |
limited to, a description of the remediation activities
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taken to date, the effectiveness of the method of |
remediation being used, the
likelihood of meeting the |
applicable remediation objectives using the current
method |
of remediation, and the date the applicable remediation |
objectives are
expected to be achieved. |
(7) If the Agency determines any approved corrective |
action plan will
not achieve applicable remediation |
objectives within a reasonable time, based
upon the method |
of remediation and site specific circumstances, the Agency |
may
require the owner or operator to submit to the Agency |
for approval a revised
corrective action plan. If the owner |
or operator intends to seek payment from
the Fund, the |
owner or operator must also submit a revised budget. |
(c) Agency review and approval. |
(1) Agency approval of any plan and associated budget, |
as described in
this subsection (c), shall be considered |
final approval for purposes of
seeking and obtaining |
payment from the Underground Storage Tank Fund if the
costs |
associated with the completion of any such plan are less |
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than or equal
to the amounts approved in such budget. |
(2) In the event the Agency fails to approve, |
disapprove, or modify any
plan or report submitted pursuant |
to this Title in writing within 120 days
of the receipt by |
the Agency, the plan or report shall be considered to be
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rejected by operation of law for purposes of this Title and |
rejected for
purposes of payment from the Underground |
Storage Tank Fund. |
(A) For purposes of those plans as identified in |
paragraph (5) of this
subsection (c), the Agency's |
review may be an audit procedure. Such review or
audit |
shall be consistent with the procedure for such review |
or audit as
promulgated by the Board under Section |
57.14. The Agency has the authority to
establish an |
auditing program to verify compliance of such plans |
with the
provisions of this Title. |
(B) For purposes of corrective action plans |
submitted pursuant to
subsection (b) of this Section |
for which payment from the Fund is not being
sought, |
the Agency need not take action on such plan until 120 |
days after it
receives the corrective action |
completion report required under subsection (b)
of |
this Section. In the event the Agency approved the |
plan, it shall proceed
under the provisions of this |
subsection (c). |
(3) In approving any plan submitted pursuant to |
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subsection (a) or (b)
of this Section, the Agency shall |
determine, by a procedure promulgated by
the Board under |
Section 57.14, that the costs associated with the plan are
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reasonable, will be incurred in the performance of site |
investigation or
corrective action, and will not be used |
for site investigation or corrective
action activities in |
excess of those required to meet the minimum requirements
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of this Title. |
(A) For purposes of payment from the Fund, |
corrective action activities required to meet the |
minimum requirements of this Title shall include, but |
not be limited to, the following use of the Board's |
Tiered Approach to Corrective Action Objectives rules |
adopted under Title XVII of this Act: |
(i) For the site where the release occurred, |
the use of Tier 2 remediation objectives that are |
no more stringent than Tier 1 remediation |
objectives. |
(ii) The use of industrial/commercial property |
remediation objectives, unless the owner or |
operator demonstrates that the property being |
remediated is residential property or being |
developed into residential property. |
(iii) The use of groundwater ordinances as |
institutional controls in accordance with Board |
rules. |
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(iv) The use of on-site groundwater use |
restrictions as institutional controls in |
accordance with Board rules. |
(B) Any bidding process adopted under Board rules |
to determine the reasonableness of costs of corrective |
action must provide for a publicly-noticed, |
competitive, and sealed bidding process that includes, |
at a minimum, the following: |
(i) The owner or operator must issue |
invitations for bids that include, at a minimum, a |
description of the work being bid and applicable |
contractual terms and conditions. The criteria on |
which the bids will be evaluated must be set forth |
in the invitation for bids. The criteria may |
include, but shall not be limited to, criteria for |
determining acceptability, such as inspection, |
testing, quality, workmanship, delivery, and |
suitability for a particular purpose. Criteria |
that will affect the bid price and be considered in |
the evaluation of a bid, such as discounts, shall |
be objectively measurable. |
(ii) At least 14 days prior to the date set in |
the invitation for the opening of bids, public |
notice of the invitation for bids must be published |
in a local paper of general circulation for the |
area in which the site is located. |
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(iii) Bids must be opened publicly in the |
presence of one or more witnesses at the time and |
place designated in the invitation for bids. The |
name of each bidder, the amount of each bid, and |
other relevant information as specified in Board |
rules must be recorded and submitted to the Agency |
in the applicable budget. After selection of the |
winning bid, the winning bid and the record of each |
unsuccessful bid shall be open to public |
inspection. |
(iv) Bids must be unconditionally accepted |
without alteration or correction. Bids must be |
evaluated based on the requirements set forth in |
the invitation for bids, which may include |
criteria for determining acceptability, such as |
inspection, testing, quality, workmanship, |
delivery, and suitability for a particular |
purpose. Criteria that will affect the bid price |
and be considered in the evaluation of a bid, such |
as discounts, shall be objectively measurable. The |
invitation for bids shall set forth the evaluation |
criteria to be used. |
(v) Correction or withdrawal of inadvertently |
erroneous bids before or after selection of the |
winning bid, or cancellation of winning bids based |
on bid mistakes, shall be allowed in accordance |
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with Board rules. After bid opening, no changes in |
bid prices or other provisions of bids prejudicial |
to the owner or operator or fair competition shall |
be allowed. All decisions to allow the correction |
or withdrawal of bids based on bid mistakes shall |
be supported by a written determination made by the |
owner or operator. |
(vi) The owner or operator shall select the |
winning bid with reasonable promptness by written |
notice to the lowest responsible and responsive |
bidder whose bid meets the requirements and |
criteria set forth in the invitation for bids. The |
winning bid and other relevant information as |
specified in Board rules must be recorded and |
submitted to the Agency in the applicable budget. |
(vii) All bidding documentation must be |
retained by the owner or operator for a minimum of |
3 years after the costs bid are submitted in an |
application for payment, except that documentation |
relating to an appeal, litigation, or other |
disputed claim must be maintained until at least 3 |
years after the date of the final disposition of |
the appeal, litigation, or other disputed claim. |
All bidding documentation must be made available |
to the Agency for inspection and copying during |
normal business hours. |
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(C) Any bidding process adopted under Board rules |
to determine the reasonableness of costs of corrective |
action shall (i) be optional and (ii) allow bidding |
only if the owner or operator demonstrates that |
corrective action cannot be performed for amounts less |
than or equal to maximum payment amounts adopted by the |
Board. |
(4) For any plan or report received after June 24,
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2002, any action by the Agency to disapprove or modify a |
plan submitted
pursuant to this Title shall be provided to |
the owner or operator in writing
within 120 days of the |
receipt by the Agency or, in the case of a site
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investigation plan or corrective action plan for which |
payment is not being
sought, within 120 days of receipt of |
the site investigation completion report
or corrective |
action completion report, respectively, and shall be |
accompanied
by: |
(A) an explanation of the Sections of this Act |
which may be violated
if the plans were approved; |
(B) an explanation of the provisions of the |
regulations, promulgated
under this Act, which may be |
violated if the plan were approved; |
(C) an explanation of the specific type of |
information, if any,
which the Agency deems the |
applicant did not provide the Agency; and |
(D) a statement of specific reasons why the Act and |
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the regulations
might not be met if the plan were |
approved. |
Any action by the Agency to disapprove or modify a plan |
or report or
the rejection of any plan or report by |
operation of law shall be subject
to appeal to the Board in |
accordance with the procedures of Section 40. If
the owner |
or operator elects to incorporate modifications required |
by the
Agency rather than appeal, an amended plan shall be |
submitted to the Agency
within 35 days of receipt of the |
Agency's written notification. |
(5) For purposes of this Title, the term "plan" shall |
include: |
(A) Any site investigation plan submitted pursuant |
to subsection (a)
of this Section; |
(B) Any site investigation budget submitted |
pursuant to subsection (a)
of this Section; |
(C) Any corrective action plan submitted pursuant |
to
subsection (b) of this Section; or |
(D) Any corrective action plan budget submitted |
pursuant to
subsection (b) of this Section. |
(d) For purposes of this Title, the term "indicator |
contaminant" shall
mean, unless and until the Board promulgates |
regulations to the contrary, the
following: (i) if an |
underground storage tank contains gasoline, the indicator
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parameter shall be BTEX and Benzene; (ii) if the tank contained |
petroleum
products consisting of middle distillate or heavy |
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ends, then the indicator
parameter shall be determined by a |
scan of PNA's taken from the location where
contamination is |
most likely to be present; and (iii) if the tank contained
used |
oil, then the indicator contaminant shall be those chemical |
constituents
which indicate the type of petroleum stored in an |
underground storage tank.
All references in this Title to |
groundwater objectives shall mean Class I
groundwater |
standards or objectives as applicable. |
(e) (1) Notwithstanding the provisions of this Section, an |
owner or
operator may proceed to conduct site investigation |
or corrective action prior
to the submittal or approval of |
an otherwise required plan. If the owner or
operator elects |
to so proceed, an applicable plan shall be filed with the
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Agency at any time. Such plan shall detail the steps taken |
to determine the
type of site investigation or corrective |
action which was necessary at the site
along with the site |
investigation or corrective action taken or to be taken, in
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addition to costs associated with activities to date and |
anticipated costs. |
(2) Upon receipt of a plan submitted after activities |
have commenced at a
site, the Agency shall proceed to |
review in the same manner as required under
this Title. In |
the event the Agency disapproves all or part of the costs, |
the
owner or operator may appeal such decision to the |
Board. The owner or operator
shall not be eligible to be |
reimbursed for such disapproved costs unless and
until the |
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Board determines that such costs were eligible for
payment. |
(f) All investigations, plans, and reports conducted or |
prepared under
this Section shall be conducted or prepared |
under the supervision of a
licensed professional engineer and |
in accordance with the requirements
of this Title. |
(Source: P.A. 95-331, eff. 8-21-07.)
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(415 ILCS 5/57.9)
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Sec. 57.9. Underground Storage Tank Fund; eligibility and |
deductibility.
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(a) The Underground Storage Tank Fund shall be accessible |
by owners and
operators who have a confirmed release from an |
underground storage tank or
related tank system of a substance |
listed in this Section. The owner or
operator is eligible to |
access the Underground Storage Tank Fund if the
eligibility |
requirements of this Title are satisfied and:
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(1) Neither the owner nor the operator is the United |
States Government.
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(2) The tank does not contain fuel which is exempt from |
the Motor Fuel Tax
Law.
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(3) The costs were incurred as a result of a confirmed |
release of any of
the following substances:
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(A) "Fuel", as defined in Section 1.19 of the Motor |
Fuel Tax Law.
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(B) Aviation fuel.
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(C) Heating oil.
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(D) Kerosene.
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(E) Used oil which has been refined from crude oil |
used in a motor
vehicle, as defined in Section 1.3 of |
the Motor Fuel Tax Law.
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(4) The owner or operator registered the tank and paid |
all fees in
accordance with the statutory and regulatory |
requirements of the Gasoline
Storage Act.
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(5) The owner or operator notified the Illinois |
Emergency Management
Agency of a confirmed release, the |
costs were incurred after the notification
and the costs |
were a result of a release of a substance listed in this |
Section.
Costs of corrective action or indemnification |
incurred before providing that
notification shall not be |
eligible for payment.
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(6) The costs have not already been paid to the owner |
or operator under a
private insurance policy, other written |
agreement, or court order.
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(7) The costs were associated with "corrective action" |
of this Act.
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If the underground storage tank which experienced a |
release of a substance
listed in this Section was installed |
after July 28, 1989, the owner or operator
is eligible to |
access the Underground Storage Tank Fund if it is |
demonstrated
to the Office of the State Fire Marshal the |
tank was installed and operated in
accordance with Office |
of the State Fire Marshal regulatory requirements.
Office |
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of the State Fire Marshal certification is prima facie |
evidence the tank
was installed pursuant to the Office of |
the State Fire Marshal regulatory
requirements.
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(b) For releases reported prior to the effective date of |
this amendatory Act of the 96th General Assembly, an An owner |
or operator may access the Underground Storage Tank Fund for
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costs associated with an Agency approved plan and the Agency |
shall approve the
payment of costs associated with corrective |
action after the
application of a $10,000 deductible, except in |
the following situations:
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(1) A deductible of $100,000 shall apply when none of |
the underground
storage tanks were registered prior to July |
28, 1989, except in the case of
underground storage tanks |
used exclusively to store heating oil for consumptive
use |
on the premises where stored and which serve other than |
farms or
residential units, a deductible of $100,000 shall |
apply when none of these
tanks were registered prior to |
July 1, 1992.
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(2) A deductible of $50,000 shall apply if any of the |
underground storage
tanks were registered prior to July 28, |
1989, and the State received notice of
the confirmed |
release prior to July 28, 1989.
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(3) A deductible of $15,000 shall apply when one or |
more, but not all, of
the underground storage tanks were |
registered prior to July 28, 1989, and the
State received |
notice of the confirmed release on or after July 28, 1989.
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For releases reported on or after the effective date of |
this amendatory Act of the 96th General Assembly, an owner or |
operator may access the Underground Storage Tank Fund for costs |
associated with an Agency approved plan, and the Agency shall |
approve the payment of costs associated with corrective action |
after the application of a $5,000 deductible. |
A deductible shall apply annually for each site at which |
costs were incurred
under a claim submitted pursuant to this |
Title, except that if corrective
action in response to an |
occurrence takes place over a period of more than one
year, in |
subsequent years, no deductible shall apply for costs incurred |
in
response to such occurrence.
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(c) Eligibility and deductibility determinations shall be |
made by the Office
of the State Fire Marshal.
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(1) When an owner or operator reports a confirmed |
release of a regulated
substance, the Office of the State |
Fire Marshal shall provide the owner or
operator with an |
"Eligibility and Deductibility Determination" form. The |
form
shall either be provided on-site or within 15 days of |
the Office of the State
Fire Marshal receipt of notice |
indicating a confirmed release. The form shall
request |
sufficient information to enable the Office of the State |
Fire Marshal
to make a final determination as to owner or |
operator eligibility
to access the Underground Storage |
Tank Fund pursuant to this Title and the
appropriate |
deductible. The form shall be promulgated as a rule or |
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regulation
pursuant to the Illinois Administrative |
Procedure Act by the Office of
the State Fire Marshal. |
Until such form is promulgated, the Office of State
Fire |
Marshal shall use a form which generally conforms with this |
Act.
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(2) Within 60 days of receipt of the "Eligibility and |
Deductibility
Determination" form, the Office of the State |
Fire Marshal shall issue one
letter enunciating the final |
eligibility and deductibility determination, and
such |
determination or failure to act within the time prescribed |
shall be a
final decision appealable to the Illinois |
Pollution Control Board.
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(Source: P.A. 88-496.)
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(415 ILCS 5/57.11) |
Sec. 57.11. Underground Storage Tank Fund; creation. |
(a) There is hereby created in the State Treasury a special |
fund
to be known as the Underground Storage Tank Fund. There |
shall be deposited
into the Underground Storage Tank Fund all |
monies received by the Office of the
State Fire Marshal as fees |
for underground storage tanks under Sections 4 and 5
of the |
Gasoline Storage Act and as fees pursuant to the Motor Fuel Tax |
Law.
All amounts held in the Underground Storage Tank Fund |
shall be invested at
interest by the State Treasurer. All |
income earned from the investments shall
be deposited into the |
Underground Storage Tank Fund no less frequently than
|
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quarterly. Moneys in the Underground Storage Tank Fund, |
pursuant to
appropriation, may be used by the Agency and the |
Office of the State Fire
Marshal for the following purposes: |
(1) To take action authorized under Section 57.12 to |
recover costs under
Section 57.12. |
(2) To assist in the reduction and mitigation of damage |
caused by leaks
from underground storage tanks, including |
but not limited to, providing
alternative water supplies to |
persons whose drinking water has become
contaminated as a |
result of those leaks. |
(3) To be used as a matching amount towards federal |
assistance relative to
the release of petroleum from |
underground storage tanks. |
(4) For the costs of administering activities of the |
Agency and the Office
of the State Fire Marshal relative to |
the Underground Storage Tank Fund. |
(5) For payment of costs of corrective action incurred |
by and
indemnification to operators of underground storage |
tanks as provided in this
Title. |
(6) For a total of 2 demonstration projects in amounts |
in excess of a
$10,000 deductible charge designed to assess |
the viability of corrective action
projects at sites which |
have experienced contamination from petroleum releases.
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Such demonstration projects shall be conducted in |
accordance with the provision
of this Title. |
(7) Subject to appropriation, moneys in the |
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Underground Storage Tank Fund
may also be used by the |
Department of Revenue for the costs of administering
its |
activities relative to the Fund and for refunds provided |
for in Section
13a.8 of the Motor Fuel Tax Act. |
(b) Moneys in the Underground Storage Tank Fund may, |
pursuant to
appropriation, be used by the Office of the State |
Fire Marshal or the Agency to
take whatever emergency action is |
necessary or appropriate to assure that the
public health or |
safety is not threatened whenever there is a release or
|
substantial threat of a release of petroleum from an |
underground storage tank
and for the costs of administering its |
activities relative to the Underground
Storage Tank Fund. |
(c) Beginning July 1, 1993, the Governor shall certify to |
the State
Comptroller and State Treasurer the monthly amount |
necessary to pay debt
service on State obligations issued |
pursuant to Section 6 of the General
Obligation Bond Act. On |
the last day of each month, the Comptroller shall order
|
transferred and the Treasurer shall transfer from the |
Underground Storage Tank
Fund to the General Obligation Bond |
Retirement and Interest Fund the amount
certified by the |
Governor, plus any cumulative deficiency in those transfers
for |
prior months. |
(d) Except as provided in subsection (c) of this Section, |
the Underground Storage Tank Fund is not subject to |
administrative charges authorized under Section 8h of the State |
Finance Act that would in any way transfer any funds from the |
|
Underground Storage Tank Fund into any other fund of the State. |
(e) Each fiscal year, subject to appropriation, the Agency |
may commit up to $10,000,000 of the moneys in the Underground |
Storage Tank Fund to the payment of corrective action costs for |
legacy sites that meet one or more of the following criteria as |
a result of the underground storage tank release: (i) the |
presence of free product, (ii) contamination within a regulated |
recharge area, a wellhead protection area, or the setback zone |
of a potable water supply well, (iii) contamination extending |
beyond the boundaries of the site where the release occurred, |
or (iv) such other criteria as may be adopted in Agency rules. |
(1) Fund moneys committed under this subsection (e) |
shall be held in the Fund for payment of the corrective |
action costs for which the moneys were committed. |
(2) The Agency may adopt rules governing the commitment |
of Fund moneys under this subsection (e). |
(3) This subsection (e) does not limit the use of Fund |
moneys at legacy sites as otherwise provided under this |
Title. |
(4) For the purposes of this subsection (e), the term |
"legacy site" means a site for which (i) an underground |
storage tank release was reported prior to January 1, 2005, |
(ii) the owner or operator has been determined eligible to |
receive payment from the Fund for corrective action costs, |
and (iii) the Agency did not receive any applications for |
payment prior to January 1, 2010. |
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(Source: P.A. 96-34, eff. 7-13-09.) |
(415 ILCS 5/57.13) |
Sec. 57.13. Underground Storage Tank Program; transition. |
This Title applies to all underground storage tank releases for |
which a No Further Remediation Letter is issued on or after the |
effective date of this amendatory Act of the 96th General |
Assembly, provided that (i) costs incurred prior to the |
effective date of this amendatory Act shall be payable from the |
UST Fund in the same manner as allowed under the law in effect |
at the time the costs were incurred and (ii) releases for which |
corrective action was completed prior to the effective date of |
this amendatory Act shall be eligible for a No Further |
Remediation Letter in the same manner as allowed under the law |
in effect at the time the corrective action was completed. |
(a) If a release is reported to the proper State authority |
on or after
June 24, 2002, the owner or operator shall comply |
with
the requirements of this Title. |
(b) If a release is reported to the proper State authority |
prior to
June 24, 2002, the
owner or operator of an underground |
storage tank may elect to proceed in
accordance with the |
requirements of this Title by submitting a written
statement to |
the Agency of such election. If the owner or operator elects to
|
proceed under the requirements of this Title all costs incurred |
in connection
with the incident prior to notification shall be |
reimbursable in the same
manner as was allowable under the then |
|
existing law. Completion of corrective
action shall then follow |
the provisions of this Title. |
(Source: P.A. 95-331, eff. 8-21-07.) |
(415 ILCS 5/57.18 new) |
Sec. 57.18. Additional remedial action required by change |
in law; Agency's duty to propose amendment. If a change in |
State or federal law requires additional remedial action in |
response to releases for which No Further Remediation Letters |
have been issued, the Agency shall propose in the next |
convening of a regular session of the current General Assembly |
amendments to this Title to allow owners and operators to |
perform the additional remedial action and seek payment from |
the Fund for the costs of the action. |
(415 ILCS 5/57.19 new) |
Sec. 57.19. Costs incurred after the issuance of a No |
Further Remediation Letter. The following shall be considered |
corrective action activities eligible for payment from the Fund |
even when an owner or operator conducts these activities after |
the issuance of a No Further Remediation Letter. Corrective |
action conducted under this Section and costs incurred under |
this Section must comply with the requirements of this Title |
and Board rules adopted under this Title. |
(1) Corrective action to achieve residential property |
remediation objectives if the owner or operator |
|
demonstrates that property remediated to |
industrial/commercial property remediation objectives |
pursuant to subdivision (c)(3)(A)(ii) of Section 57.7 of |
this Act is being developed into residential property. |
(2) Corrective action to address groundwater |
contamination if the owner or operator demonstrates that |
action is necessary because a groundwater ordinance used as |
an institutional control pursuant to subdivision |
(c)(3)(A)(iii) of Section 57.7 of this Act can no longer be |
used as an institutional control. |
(3) Corrective action to address groundwater |
contamination if the owner or operator demonstrates that |
action is necessary because an on-site groundwater use |
restriction used as an institutional control pursuant to |
subdivision (c)(3)(A)(iv) of Section 57.7 of this Act must |
be lifted in order to allow the installation of a potable |
water supply well due to public water supply service no |
longer being available for reasons other than an act or |
omission of the owner or operator. |
(4) The disposal of soil that does not exceed |
industrial/commercial property remediation objectives, but |
that does exceed residential property remediation |
objectives, if industrial/commercial property remediation |
objectives were used pursuant to subdivision (c)(3)(A)(ii) |
of Section 57.7 of this Act and the owner or operator |
demonstrates that (i) the contamination is the result of |
|
the release for which the owner or operator is eligible to |
seek payment from the Fund and (ii) disposal of the soil is |
necessary as a result of construction activities conducted |
after the issuance of a No Further Remediation Letter on |
the site where the release occurred, including, but not |
limited to, the following: tank, line, or canopy repair, |
replacement, or removal; building upgrades; sign |
installation; and water or sewer line replacement. |
(5) The disposal of water exceeding groundwater |
remediation objectives that is removed from an excavation |
on the site where the release occurred if a groundwater |
ordinance is used as an institutional control pursuant to |
subdivision (c)(3)(A)(iii) of Section 57.7 of this Act, or |
if an on-site groundwater use restriction is used as an |
institutional control pursuant to subdivision |
(c)(3)(A)(iv) of Section 57.7, and the owner or operator |
demonstrates that (i) the excavation is located within the |
measured or modeled extent of groundwater contamination |
resulting from the release for which the owner or operator |
is eligible to seek payment from the Fund and (ii) disposal |
of the groundwater is necessary as a result of construction |
activities conducted after the issuance of a No Further |
Remediation Letter on the site where the release occurred, |
including, but not limited to, the following: tank, line, |
or canopy repair, replacement, or removal; building |
upgrades; sign installation; and water or sewer line |