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| | HB1640 Engrossed | | LRB104 07860 BDA 17906 b |
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| 1 | | AN ACT concerning health. |
| 2 | | Be it enacted by the People of the State of Illinois, |
| 3 | | represented in the General Assembly: |
| 4 | | Section 5. The Environmental Protection Act is amended by |
| 5 | | changing Section 57.7 as follows: |
| 6 | | (415 ILCS 5/57.7) |
| 7 | | Sec. 57.7. Leaking underground storage tanks; site |
| 8 | | investigation and corrective action. |
| 9 | | (a) Site investigation. |
| 10 | | (1) For any site investigation activities required by |
| 11 | | statute or rule, the owner or operator shall submit to the |
| 12 | | Agency for approval a site investigation plan designed to |
| 13 | | determine the nature, concentration, direction of |
| 14 | | movement, rate of movement, and extent of the |
| 15 | | contamination as well as the significant physical features |
| 16 | | of the site and surrounding area that may affect |
| 17 | | contaminant transport and risk to human health and safety |
| 18 | | and the environment. |
| 19 | | (2) Any owner or operator intending to seek payment |
| 20 | | from the Fund shall submit to the Agency for approval a |
| 21 | | site investigation budget that includes, but is not |
| 22 | | limited to, an accounting of all costs associated with the |
| 23 | | implementation and completion of the site investigation |
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| 1 | | plan. |
| 2 | | (3) Remediation objectives for the applicable |
| 3 | | indicator contaminants shall be determined using the |
| 4 | | tiered approach to corrective action objectives rules |
| 5 | | adopted by the Board pursuant to this Title and Title XVII |
| 6 | | of this Act. For the purposes of this Title, "Contaminant |
| 7 | | of Concern" or "Regulated Substance of Concern" in the |
| 8 | | rules means the applicable indicator contaminants set |
| 9 | | forth in subsection (d) of this Section and the rules |
| 10 | | adopted thereunder. |
| 11 | | (4) Upon the Agency's approval of a site investigation |
| 12 | | plan, or as otherwise directed by the Agency, the owner or |
| 13 | | operator shall conduct a site investigation in accordance |
| 14 | | with the plan. |
| 15 | | (5) Within 30 days after completing the site |
| 16 | | investigation, the owner or operator shall submit to the |
| 17 | | Agency for approval a site investigation completion |
| 18 | | report. At a minimum the report shall include all of the |
| 19 | | following: |
| 20 | | (A) Executive summary. |
| 21 | | (B) Site history. |
| 22 | | (C) Site-specific sampling methods and results. |
| 23 | | (D) Documentation of all field activities, |
| 24 | | including quality assurance. |
| 25 | | (E) Documentation regarding the development of |
| 26 | | proposed remediation objectives. |
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| 1 | | (F) Interpretation of results. |
| 2 | | (G) Conclusions. |
| 3 | | (b) Corrective action. |
| 4 | | (1) If the site investigation confirms none of the |
| 5 | | applicable indicator contaminants exceed the proposed |
| 6 | | remediation objectives, within 30 days after completing |
| 7 | | the site investigation the owner or operator shall submit |
| 8 | | to the Agency for approval a corrective action completion |
| 9 | | report in accordance with this Section. |
| 10 | | (2) If any of the applicable indicator contaminants |
| 11 | | exceed the remediation objectives approved for the site, |
| 12 | | within 30 days after the Agency approves the site |
| 13 | | investigation completion report the owner or operator |
| 14 | | shall submit to the Agency for approval a corrective |
| 15 | | action plan designed to mitigate any threat to human |
| 16 | | health, human safety, or the environment resulting from |
| 17 | | the underground storage tank release. The plan shall |
| 18 | | describe the selected remedy and evaluate its ability and |
| 19 | | effectiveness to achieve the remediation objectives |
| 20 | | approved for the site. At a minimum, the report shall |
| 21 | | include all of the following: |
| 22 | | (A) Executive summary. |
| 23 | | (B) Statement of remediation objectives. |
| 24 | | (C) Remedial technologies selected. |
| 25 | | (D) Confirmation sampling plan. |
| 26 | | (E) Current and projected future use of the |
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| 1 | | property. |
| 2 | | (F) Applicable preventive, engineering, and |
| 3 | | institutional controls including long-term |
| 4 | | reliability, operating, and maintenance plans, and |
| 5 | | monitoring procedures. |
| 6 | | (G) A schedule for implementation and completion |
| 7 | | of the plan. |
| 8 | | (3) Any owner or operator intending to seek payment |
| 9 | | from the Fund shall submit to the Agency for approval a |
| 10 | | corrective action budget that includes, but is not limited |
| 11 | | to, an accounting of all costs associated with the |
| 12 | | implementation and completion of the corrective action |
| 13 | | plan. |
| 14 | | (4) Upon the Agency's approval of a corrective action |
| 15 | | plan, or as otherwise directed by the Agency, the owner or |
| 16 | | operator shall proceed with corrective action in |
| 17 | | accordance with the plan. |
| 18 | | (5) Within 30 days after the completion of a |
| 19 | | corrective action plan that achieves applicable |
| 20 | | remediation objectives the owner or operator shall submit |
| 21 | | to the Agency for approval a corrective action completion |
| 22 | | report. The report shall demonstrate whether corrective |
| 23 | | action was completed in accordance with the approved |
| 24 | | corrective action plan and whether the remediation |
| 25 | | objectives approved for the site, as well as any other |
| 26 | | requirements of the plan, have been achieved. |
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| 1 | | (6) If within 4 years after the approval of any |
| 2 | | corrective action plan the applicable remediation |
| 3 | | objectives have not been achieved and the owner or |
| 4 | | operator has not submitted a corrective action completion |
| 5 | | report, the owner or operator must submit a status report |
| 6 | | for Agency review. The status report must include, but is |
| 7 | | not limited to, a description of the remediation |
| 8 | | activities taken to date, the effectiveness of the method |
| 9 | | of remediation being used, the likelihood of meeting the |
| 10 | | applicable remediation objectives using the current method |
| 11 | | of remediation, and the date the applicable remediation |
| 12 | | objectives are expected to be achieved. |
| 13 | | (7) If the Agency determines any approved corrective |
| 14 | | action plan will not achieve applicable remediation |
| 15 | | objectives within a reasonable time, based upon the method |
| 16 | | of remediation and site specific circumstances, the Agency |
| 17 | | may require the owner or operator to submit to the Agency |
| 18 | | for approval a revised corrective action plan. If the |
| 19 | | owner or operator intends to seek payment from the Fund, |
| 20 | | the owner or operator must also submit a revised budget. |
| 21 | | (c) Agency review and approval. |
| 22 | | (1) Agency approval of any plan and associated budget, |
| 23 | | as described in this subsection (c), shall be considered |
| 24 | | final approval for purposes of seeking and obtaining |
| 25 | | payment from the Underground Storage Tank Fund if the |
| 26 | | costs associated with the completion of any such plan are |
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| 1 | | less than or equal to the amounts approved in such budget. |
| 2 | | (2) In the event the Agency fails to approve, |
| 3 | | disapprove, or modify any plan or report submitted |
| 4 | | pursuant to this Title in writing within 120 days of the |
| 5 | | receipt by the Agency, the plan or report shall be |
| 6 | | considered to be rejected by operation of law for purposes |
| 7 | | of this Title and rejected for purposes of payment from |
| 8 | | the Underground Storage Tank Fund. |
| 9 | | (A) For purposes of those plans as identified in |
| 10 | | paragraph (5) of this subsection (c), the Agency's |
| 11 | | review may be an audit procedure. Such review or audit |
| 12 | | shall be consistent with the procedure for such review |
| 13 | | or audit as promulgated by the Board under Section |
| 14 | | 57.14. The Agency has the authority to establish an |
| 15 | | auditing program to verify compliance of such plans |
| 16 | | with the provisions of this Title. |
| 17 | | (B) For purposes of corrective action plans |
| 18 | | submitted pursuant to subsection (b) of this Section |
| 19 | | for which payment from the Fund is not being sought, |
| 20 | | the Agency need not take action on such plan until 120 |
| 21 | | days after it receives the corrective action |
| 22 | | completion report required under subsection (b) of |
| 23 | | this Section. In the event the Agency approved the |
| 24 | | plan, it shall proceed under the provisions of this |
| 25 | | subsection (c). |
| 26 | | (3) In approving any plan submitted pursuant to |
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| 1 | | subsection (a) or (b) of this Section, the Agency shall |
| 2 | | determine, by a procedure promulgated by the Board under |
| 3 | | Section 57.14, that the costs associated with the plan are |
| 4 | | reasonable, will be incurred in the performance of site |
| 5 | | investigation or corrective action, and will not be used |
| 6 | | for site investigation or corrective action activities in |
| 7 | | excess of those required to meet the minimum requirements |
| 8 | | of this Title. The Agency shall also determine, pursuant |
| 9 | | to the Project Labor Agreements Act, whether the |
| 10 | | corrective action shall include a project labor agreement |
| 11 | | if payment from the Underground Storage Tank Fund is to be |
| 12 | | requested. |
| 13 | | (A) For purposes of payment from the Fund, |
| 14 | | corrective action activities required to meet the |
| 15 | | minimum requirements of this Title shall include, but |
| 16 | | not be limited to, the following use of the Board's |
| 17 | | Tiered Approach to Corrective Action Objectives rules |
| 18 | | adopted under Title XVII of this Act: |
| 19 | | (i) For the site where the release occurred, |
| 20 | | the use of Tier 2 remediation objectives that are |
| 21 | | no more stringent than Tier 1 remediation |
| 22 | | objectives. |
| 23 | | (ii) The use of industrial/commercial property |
| 24 | | remediation objectives, unless the owner or |
| 25 | | operator demonstrates that the property being |
| 26 | | remediated is residential property or being |
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| 1 | | developed into residential property. |
| 2 | | (iii) The use of groundwater ordinances as |
| 3 | | institutional controls in accordance with Board |
| 4 | | rules. |
| 5 | | (iv) The use of on-site groundwater use |
| 6 | | restrictions as institutional controls in |
| 7 | | accordance with Board rules. |
| 8 | | (B) Any bidding process adopted under Board rules |
| 9 | | to determine the reasonableness of costs of corrective |
| 10 | | action must provide for a publicly-noticed, |
| 11 | | competitive, and sealed bidding process that includes, |
| 12 | | at a minimum, the following: |
| 13 | | (i) The owner or operator must issue |
| 14 | | invitations for bids that include, at a minimum, a |
| 15 | | description of the work being bid and applicable |
| 16 | | contractual terms and conditions. The criteria on |
| 17 | | which the bids will be evaluated must be set forth |
| 18 | | in the invitation for bids. The criteria may |
| 19 | | include, but shall not be limited to, criteria for |
| 20 | | determining acceptability, such as inspection, |
| 21 | | testing, quality, workmanship, delivery, and |
| 22 | | suitability for a particular purpose. Criteria |
| 23 | | that will affect the bid price and be considered |
| 24 | | in the evaluation of a bid, such as discounts, |
| 25 | | shall be objectively measurable. |
| 26 | | (ii) At least 14 days prior to the date set in |
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| 1 | | the invitation for the opening of bids, public |
| 2 | | notice of the invitation for bids must be |
| 3 | | published in a local paper of general circulation |
| 4 | | for the area in which the site is located or on an |
| 5 | | electronic procurement website approved by the |
| 6 | | Agency. |
| 7 | | (iii) Bids must be opened publicly in the |
| 8 | | presence of one or more witnesses at the time and |
| 9 | | place designated in the invitation for bids. The |
| 10 | | name of each bidder, the amount of each bid, and |
| 11 | | other relevant information as specified in Board |
| 12 | | rules must be recorded and submitted to the Agency |
| 13 | | in the applicable budget. After selection of the |
| 14 | | winning bid, the winning bid and the record of |
| 15 | | each unsuccessful bid shall be open to public |
| 16 | | inspection. |
| 17 | | (iv) Bids must be unconditionally accepted |
| 18 | | without alteration or correction. Bids must be |
| 19 | | evaluated based on the requirements set forth in |
| 20 | | the invitation for bids, which may include |
| 21 | | criteria for determining acceptability, such as |
| 22 | | inspection, testing, quality, workmanship, |
| 23 | | delivery, and suitability for a particular |
| 24 | | purpose. Criteria that will affect the bid price |
| 25 | | and be considered in the evaluation of a bid, such |
| 26 | | as discounts, shall be objectively measurable. The |
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| 1 | | invitation for bids shall set forth the evaluation |
| 2 | | criteria to be used. |
| 3 | | (v) Correction or withdrawal of inadvertently |
| 4 | | erroneous bids before or after selection of the |
| 5 | | winning bid, or cancellation of winning bids based |
| 6 | | on bid mistakes, shall be allowed in accordance |
| 7 | | with Board rules. After bid opening, no changes in |
| 8 | | bid prices or other provisions of bids prejudicial |
| 9 | | to the owner or operator or fair competition shall |
| 10 | | be allowed. All decisions to allow the correction |
| 11 | | or withdrawal of bids based on bid mistakes shall |
| 12 | | be supported by a written determination made by |
| 13 | | the owner or operator. |
| 14 | | (vi) The owner or operator shall select the |
| 15 | | winning bid with reasonable promptness by written |
| 16 | | notice to the lowest responsible and responsive |
| 17 | | bidder whose bid meets the requirements and |
| 18 | | criteria set forth in the invitation for bids. The |
| 19 | | winning bid and other relevant information as |
| 20 | | specified in Board rules must be recorded and |
| 21 | | submitted to the Agency in the applicable budget. |
| 22 | | (vii) All bidding documentation must be |
| 23 | | retained by the owner or operator for a minimum of |
| 24 | | 3 years after the costs bid are submitted in an |
| 25 | | application for payment, except that documentation |
| 26 | | relating to an appeal, litigation, or other |
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| 1 | | disputed claim must be maintained until at least 3 |
| 2 | | years after the date of the final disposition of |
| 3 | | the appeal, litigation, or other disputed claim. |
| 4 | | All bidding documentation must be made available |
| 5 | | to the Agency for inspection and copying during |
| 6 | | normal business hours. |
| 7 | | (C) Any bidding process adopted under Board rules |
| 8 | | to determine the reasonableness of costs of corrective |
| 9 | | action shall (i) be optional and (ii) allow bidding |
| 10 | | only if the owner or operator demonstrates that |
| 11 | | corrective action cannot be performed for amounts less |
| 12 | | than or equal to maximum payment amounts adopted by |
| 13 | | the Board. |
| 14 | | (4) For any plan or report received after June 24, |
| 15 | | 2002, any action by the Agency to disapprove or modify a |
| 16 | | plan submitted pursuant to this Title shall be provided to |
| 17 | | the owner or operator in writing within 120 days of the |
| 18 | | receipt by the Agency or, in the case of a site |
| 19 | | investigation plan or corrective action plan for which |
| 20 | | payment is not being sought, within 120 days of receipt of |
| 21 | | the site investigation completion report or corrective |
| 22 | | action completion report, respectively, and shall be |
| 23 | | accompanied by: |
| 24 | | (A) an explanation of the Sections of this Act |
| 25 | | which may be violated if the plans were approved; |
| 26 | | (B) an explanation of the provisions of the |
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| 1 | | regulations, promulgated under this Act, which may be |
| 2 | | violated if the plan were approved; |
| 3 | | (C) an explanation of the specific type of |
| 4 | | information, if any, which the Agency deems the |
| 5 | | applicant did not provide the Agency; and |
| 6 | | (D) a statement of specific reasons why the Act |
| 7 | | and the regulations might not be met if the plan were |
| 8 | | approved. |
| 9 | | Any action by the Agency to disapprove or modify a |
| 10 | | plan or report or the rejection of any plan or report by |
| 11 | | operation of law shall be subject to appeal to the Board in |
| 12 | | accordance with the procedures of Section 40. If the owner |
| 13 | | or operator elects to incorporate modifications required |
| 14 | | by the Agency rather than appeal, an amended plan shall be |
| 15 | | submitted to the Agency within 35 days of receipt of the |
| 16 | | Agency's written notification. |
| 17 | | (5) For purposes of this Title, the term "plan" shall |
| 18 | | include: |
| 19 | | (A) Any site investigation plan submitted pursuant |
| 20 | | to subsection (a) of this Section; |
| 21 | | (B) Any site investigation budget submitted |
| 22 | | pursuant to subsection (a) of this Section; |
| 23 | | (C) Any corrective action plan submitted pursuant |
| 24 | | to subsection (b) of this Section; or |
| 25 | | (D) Any corrective action plan budget submitted |
| 26 | | pursuant to subsection (b) of this Section. |
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| 1 | | (d) For purposes of this Title, the term "indicator |
| 2 | | contaminant" shall mean, unless and until the Board |
| 3 | | promulgates regulations to the contrary, the following: (i) if |
| 4 | | an underground storage tank contains gasoline, the indicator |
| 5 | | parameter shall be BTEX and Benzene; (ii) if the tank |
| 6 | | contained petroleum products consisting of middle distillate |
| 7 | | or heavy ends, then the indicator parameter shall be |
| 8 | | determined by a scan of PNA's taken from the location where |
| 9 | | contamination is most likely to be present; and (iii) if the |
| 10 | | tank contained used oil, then the indicator contaminant shall |
| 11 | | be those chemical constituents which indicate the type of |
| 12 | | petroleum stored in an underground storage tank. All |
| 13 | | references in this Title to groundwater objectives shall mean |
| 14 | | Class I groundwater standards or objectives as applicable. |
| 15 | | (e) (1) Notwithstanding the provisions of this Section, an |
| 16 | | owner or operator may proceed to conduct site |
| 17 | | investigation or corrective action prior to the submittal |
| 18 | | or approval of an otherwise required plan. If the owner or |
| 19 | | operator elects to so proceed, an applicable plan shall be |
| 20 | | filed with the Agency at any time. Such plan shall detail |
| 21 | | the steps taken to determine the type of site |
| 22 | | investigation or corrective action which was necessary at |
| 23 | | the site along with the site investigation or corrective |
| 24 | | action taken or to be taken, in addition to costs |
| 25 | | associated with activities to date and anticipated costs. |
| 26 | | (2) Upon receipt of a plan submitted after activities |
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| 1 | | have commenced at a site, the Agency shall proceed to |
| 2 | | review in the same manner as required under this Title. In |
| 3 | | the event the Agency disapproves all or part of the costs, |
| 4 | | the owner or operator may appeal such decision to the |
| 5 | | Board. The owner or operator shall not be eligible to be |
| 6 | | reimbursed for such disapproved costs unless and until the |
| 7 | | Board determines that such costs were eligible for |
| 8 | | payment. |
| 9 | | (f) All investigations, plans, and reports conducted or |
| 10 | | prepared under this Section shall be conducted or prepared |
| 11 | | under the supervision of a licensed professional engineer and |
| 12 | | in accordance with the requirements of this Title. |
| 13 | | (Source: P.A. 98-109, eff. 7-25-13.) |