(415 ILCS 5/Tit. I heading) TITLE I:
GENERAL PROVISIONS
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(415 ILCS 5/1) (from Ch. 111 1/2, par. 1001)
Sec. 1.
This Act shall be known and may be cited as the "Environmental
Protection Act".
(Source: P.A. 76-2429.)
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(415 ILCS 5/2) (from Ch. 111 1/2, par. 1002)
Sec. 2. (a) The General Assembly finds:
(i) that environmental damage seriously endangers the | ||
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(ii) that because environmental damage does not | ||
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(iii) that air, water, and other resource pollution, | ||
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(iv) that it is the obligation of the State | ||
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(v) that in order to alleviate the burden on | ||
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(vi) that despite the existing laws and regulations | ||
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(vii) that it is necessary to supplement and | ||
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(b) It is the purpose of this Act, as more specifically described in
later sections, to establish a unified, state-wide program supplemented by
private remedies, to restore, protect and enhance the quality of the
environment, and to assure that adverse effects upon the environment are
fully considered and borne by those who cause them.
(c) The terms and provisions of this Act shall be liberally construed
so as to effectuate the purposes of this Act as set forth in subsection
(b) of this Section, but to the extent that this Act prescribes criminal
penalties, it shall be construed in accordance with the Criminal Code of
2012.
(Source: P.A. 97-1150, eff. 1-25-13.)
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(415 ILCS 5/3) (from Ch. 111 1/2, par. 1003)
Sec. 3.
Definitions.
(a) For the purposes of this Act, the words and terms defined in
the Sections which follow this Section and precede Section 4 shall have
the meaning therein given, unless the context otherwise clearly requires.
(b) This amendatory Act of the 92nd General Assembly renumbers the
definition Sections formerly included in this Act as Sections 3.01 through
3.94. The new numbering scheme is intended to alphabetize the defined terms
and to leave room for additional terms to be added in alphabetical order in
the future. It does not reuse any of the original numbers.
In the bill for this amendatory Act, the renumbered Sections are shown
in the manner commonly used to show renumbering in revisory bills.
The Sections being renumbered are shown as existing (rather than new) text;
only the changes being made to the existing text are shown with striking and
underscoring. The original source lines have been retained.
(c) In a statute, rule, permit, or other document in existence on
the effective date of this amendatory Act of the 92nd General Assembly,
a reference to one of the definition Sections renumbered by this amendatory
Act shall be deemed to refer to the corresponding Section as renumbered by
this amendatory Act.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/prec. Sec. 3.01 heading) OBSOLETE DEFINITIONS (Sections 3.01 through 3.94 were renumbered by Public Act 92-574, eff. 6-26-2002.)
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(415 ILCS 5/3.102) Sec. 3.102. 100-year flood. "100-year flood" means a flood that has a 1% or greater chance of recurring in any given year or a flood of a magnitude equaled or exceeded once in 100 years on the average over a significantly longer period.
(Source: P.A. 96-1395, eff. 7-29-10.) |
(415 ILCS 5/3.103) Sec. 3.103. 100-year floodplain. "100-year floodplain" means the lowland and relatively flat areas adjoining inland and coastal waters, including flood-prone areas of offshore islands, that are inundated by a 100-year flood. For the purposes of this Act, including for the purposes of granting permit and license applications filed or pending prior to the effective date of this amendatory Act of the 96th General Assembly, an area shall be deemed by operation of law not to be within the 100-year floodplain if the area lies within an area protected by a federal levee and is located in a flood prevention district established in accordance with the Flood Prevention District Act; provided, however, that an area that lies within a flood prevention district established in accordance with the Flood Prevention District Act shall be deemed by operation of law to be within the 100-year floodplain if, according to the currently adopted federal flood insurance rate map, the area is subject to inundation by a 100-year flood from bodies of water other than the Mississippi River.
(Source: P.A. 96-1395, eff. 7-29-10.) |
(415 ILCS 5/3.105) (was 415 ILCS 5/3.01)
Sec. 3.105.
Agency.
"Agency" is the Environmental Protection
Agency established by this Act.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.110) (was 415 ILCS 5/3.77)
Sec. 3.110.
Agrichemical facility.
"Agrichemical facility"
means a site used for
commercial purposes, where bulk pesticides are stored in a single container in
excess of 300 gallons of liquid pesticide or 300 pounds of dry pesticide for
more than 30 days per year or where more than 300 gallons of liquid pesticide
or 300 pounds of dry pesticide are being mixed, repackaged or transferred
from one container to another within a 30 day period or a site where bulk
fertilizers are stored, mixed, repackaged or transferred from one container
to another.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.115) (was 415 ILCS 5/3.02)
Sec. 3.115.
Air pollution.
"Air pollution" is the presence
in the atmosphere of one or more contaminants in sufficient quantities and
of such characteristics and duration as to be injurious to human, plant,
or animal life, to health, or to property, or to unreasonably interfere
with the enjoyment of life or property.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.120) (was 415 ILCS 5/3.03)
Sec. 3.120.
Air pollution control equipment.
"Air pollution control equipment" means any
equipment or facility of a type intended to eliminate, prevent, reduce or
control the emission of specified air contaminants to the atmosphere. Air
pollution control equipment includes, but is not limited to, landfill gas
recovery facilities.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.125) (was 415 ILCS 5/3.68)
Sec. 3.125.
Biodeterioration; biodegradation.
(a) "Biodeterioration", when used in connection with recycling or
composting, means the biologically mediated loss of utilitarian or physical
characteristics of a plastic or hybrid material containing plastic as a major
component.
(b) "Biodegradation", when used in connection with recycling, means the
conversion of all constituents of a plastic or hybrid material containing
plastic as a major component to carbon dioxide, inorganic salts, microbial
cellular components and miscellaneous by-products characteristically formed
from the breakdown of natural materials such as corn starch.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.130) (was 415 ILCS 5/3.04)
Sec. 3.130.
Board.
"Board" is the Pollution Control Board
established by this Act.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.131) Sec. 3.131. Clean energy. "Clean energy" means energy generation that is substantially free (90% or greater) of carbon dioxide emissions.
(Source: P.A. 102-662, eff. 9-15-21.) |
(415 ILCS 5/3.135) (was 415 ILCS 5/3.94)
Sec. 3.135. Coal combustion by-product; CCB.
(a) "Coal combustion
by-product" (CCB) means coal combustion waste when used beneficially in any of
the following ways: (1) The extraction or recovery of material compounds | ||
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(2) The use of CCB as a raw ingredient or mineral | ||
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(3) CCB used (A) in accordance with the Illinois | ||
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(4) Bottom ash used as antiskid material, athletic | ||
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(5) Use in the stabilization or modification of soils | ||
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(6) CCB used as a functionally equivalent substitute | ||
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(6.5) CCB that is a synthetic gypsum that: (A) has a calcium sulfate dihydrate content | ||
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(B) is registered with the Illinois Department | ||
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(C) is a functionally equivalent substitute for | ||
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(D) is used in accordance with, and applied at | ||
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(E) has not been mixed with any waste. (7) Bottom ash used in non-IDOT pavement sub-base or | ||
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(8) Structural fill, designed and constructed | ||
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(9) Mine subsidence, mine fire control, mine sealing, | ||
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(a-5) Except to the extent that the uses are otherwise authorized by law
without such restrictions, the uses specified in items (a)(3)(A) and (a)(7) through (9) shall be subject to the
following conditions:
(A) CCB shall not have been mixed with hazardous | ||
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(B) CCB shall not exceed Class I Groundwater | ||
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(C) Unless otherwise exempted, users of CCB for the | ||
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(D) Fly ash shall be managed in a manner that | ||
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(E) CCB is not to be accumulated speculatively. CCB | ||
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(F) CCB shall include any prescribed mixture of fly | ||
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(b) To encourage and promote the utilization of CCB in productive and beneficial
applications, upon request by the applicant, the Agency shall make a written beneficial use determination that coal-combustion
waste is CCB when used in a manner other than those uses specified in subsection (a) of this Section if the applicant demonstrates that use of the coal-combustion waste satisfies all of the following criteria: the use will not cause, threaten, or allow the discharge of any contaminant into the environment; the use will otherwise protect human health and safety and the environment; and the use constitutes a legitimate use of the coal-combustion waste as an ingredient or raw material that is an effective substitute for an analogous ingredient or raw material.
The Agency's beneficial use determinations may allow the uses set forth in items (a)(3)(A) and (a)(7) through (9) of this Section without the CCB being subject to the restrictions set forth in subdivisions (a-5)(B) and (a-5)(E) of this Section.
Within 90 days after the receipt of an application for a beneficial use determination under this subsection (b), the Agency shall, in writing, approve, disapprove, or approve with conditions the beneficial use. Any disapproval or approval with conditions shall include the Agency's reasons for the disapproval or conditions. Failure of the Agency to issue a decision within 90 days shall constitute disapproval of the beneficial use request. These beneficial use determinations are subject to review under Section 40 of this Act.
Any approval of a beneficial use under this subsection (b) shall become effective upon the date of the Agency's written decision and remain in effect for a period of 5 years. If an applicant desires to continue a beneficial use after the expiration of the 5-year period, the applicant must submit an application for renewal no later than 90 days prior to the expiration. The beneficial use approval shall be automatically extended unless denied by the Agency in writing with the Agency's reasons for disapproval, or unless the Agency has requested an extension for review, in which case the use will continue to be allowed until an Agency determination is made. Coal-combustion waste for which a beneficial use is approved pursuant to this subsection (b) shall be considered CCB during the effective period of the approval, as long as it is used in accordance with the approval and any conditions. Notwithstanding the other provisions of this subsection (b), written beneficial use determination applications for the use of CCB at sites governed by the federal Surface Mining Control and Reclamation Act of 1977 (P.L. 95-87) or the rules and regulations thereunder, or by any law or rule or regulation adopted by the State of Illinois pursuant thereto, shall be reviewed and approved by the Office of Mines and Minerals within the Department of Natural Resources pursuant to 62 Ill. Adm. Code §§ 1700-1850. Further, appeals of those determinations shall be made pursuant to the Illinois Administrative Review Law.
The Board shall adopt rules establishing standards and procedures for the Agency's issuance of beneficial use determinations under this subsection (b). The Board rules may also, but are not required to, include standards and procedures for the revocation of the beneficial use determinations. Prior to the effective date of Board rules adopted under this subsection (b), the Agency is authorized to make beneficial use determinations in accordance with this subsection (b). The Agency is authorized to prepare and distribute guidance documents relating to its administration of this Section. Guidance documents prepared under this subsection are not rules for the purposes of the Illinois Administrative Procedure Act.
(Source: P.A. 99-20, eff. 7-10-15.)
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(415 ILCS 5/3.140) (was 415 ILCS 5/3.76)
Sec. 3.140. Coal combustion waste. "Coal combustion waste"
means any CCR or any fly ash, bottom ash, slag, or flue gas or fluid bed boiler
desulfurization by-products generated as a result of the combustion of:
(1) coal, or
(2) coal in combination with: (i) fuel grade | ||
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(3) coal (with or without: (i) fuel grade petroleum | ||
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(Source: P.A. 101-171, eff. 7-30-19.)
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(415 ILCS 5/3.141) Sec. 3.141. Notice of power plant demolition. (a) If a demolition is conducted at a coal-fueled power plant, the owner of the coal-fueled power plant shall, at least 60 days before commencing the demolition or as otherwise required under State or federal law, notify the Agency and the public about the demolition and provide the Agency and the public with copies of any plans for the demolition. The notice shall comply with the following: (1) The notice must be provided, where applicable, in | ||
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(2) The notice must include reference to any relevant | ||
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(3) The notice must include the following | ||
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(A) The date and time of any scheduled demolition | ||
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(B) The portion of the coal-fueled power plant | ||
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(C) Any potential contaminants associated with | ||
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(D) The business name of any company that will | ||
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(E) Information on any applicable permits. (F) Whether any unlined CCR surface impoundment | ||
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(G) Details of the preventative measures | ||
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(b) In this Section, "public" means the population of a town, village, or city in the State of Illinois that is within 25 miles of a coal-fueled power plant at which demolition is to be conducted.
(Source: P.A. 102-631, eff. 8-27-21.) |
(415 ILCS 5/3.142) Sec. 3.142. Coal combustion residual; CCR. "Coal combustion residual" or "CCR" means fly ash, bottom ash, boiler slag, and flue gas desulfurization materials generated from burning coal for the purpose of generating electricity by electric utilities and independent power producers.
(Source: P.A. 101-171, eff. 7-30-19.) |
(415 ILCS 5/3.143) Sec. 3.143. CCR surface impoundment. "CCR surface impoundment" means a natural topographic depression, man-made excavation, or diked area, which is designed to hold an accumulation of CCR and liquids, and the unit treats, stores, or disposes of CCR.
(Source: P.A. 101-171, eff. 7-30-19.) |
(415 ILCS 5/3.145) (was 415 ILCS 5/3.05)
Sec. 3.145.
Community water supply.
"Community water supply"
means a public water
supply which serves or is intended to serve at least 15 service connections
used by residents or regularly serves at least 25 residents.
"Non-community water supply" means a public water supply that is not
a community water supply. The requirements of this Act shall not apply
to non-community water supplies.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.150) (was 415 ILCS 5/3.69)
Sec. 3.150.
Compost.
"Compost" is defined as the humus-like
product of
the process of composting waste, which may be used as a soil conditioner.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.155) (was 415 ILCS 5/3.70)
Sec. 3.155.
Composting.
"Composting" means the biological
treatment
process by which microorganisms decompose the organic fraction of waste,
producing compost.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.160) (was 415 ILCS 5/3.78 and 3.78a) Sec. 3.160. Construction or demolition debris. (a) "General construction or demolition debris" means non-hazardous,
uncontaminated materials resulting from the construction, remodeling, repair,
and demolition of utilities, structures, and roads, limited to the following:
bricks, concrete, and other masonry materials; soil; rock; wood, including
non-hazardous painted, treated, and coated wood and wood products; wall
coverings; plaster; drywall; plumbing fixtures; non-asbestos insulation;
roofing shingles and other roof coverings; reclaimed or other asphalt pavement; glass;
plastics that are not sealed in a manner that conceals waste; electrical
wiring and components containing no hazardous substances; and corrugated cardboard, piping or metals
incidental to any of those materials. General construction or demolition debris does not include uncontaminated
soil generated during construction, remodeling, repair, and demolition of
utilities, structures, and roads provided the uncontaminated soil is not
commingled with any general construction or demolition debris or other waste. To the extent allowed by federal law, uncontaminated concrete with protruding rebar shall be considered clean construction or demolition debris and shall not be considered "waste" if it is separated or processed and returned to the economic mainstream in the form of raw materials or products within 4 years of its generation, if it is not speculatively accumulated and, if used as a fill material, it is used in accordance with item (i) in subsection (b) of this Section.
(a-1) "General construction or demolition debris recovery facility" means a site or facility used to store or treat exclusively general construction or demolition debris, including, but not limited to, sorting, separating, or transferring, for recycling, reclamation, or reuse. For purposes of this definition, treatment includes altering the physical nature of the general construction or demolition debris, such as by size reduction, crushing, grinding, or homogenization, but does not include treatment designed to change the chemical nature of the general construction or demolition debris. (b) "Clean construction or demolition debris" means
uncontaminated broken concrete without protruding metal bars, bricks, rock,
stone, reclaimed or other asphalt pavement, or soil generated from construction or
demolition activities. Clean construction or demolition debris does not include uncontaminated soil
generated during construction, remodeling, repair, and demolition of utilities,
structures, and roads provided the uncontaminated soil is not commingled with
any clean construction or demolition debris or other waste. To the extent allowed by federal law, clean construction or demolition debris
shall not be considered "waste" if it is (i) used as fill material outside of a setback zone if the fill is placed no higher than the
highest point of elevation existing prior to the filling immediately adjacent
to the fill area, and if covered by sufficient uncontaminated soil to
support vegetation within 30 days of the completion of filling or if covered
by a road or structure, and, if used as fill material in a current or former quarry, mine, or other excavation, is used in accordance with the requirements of Section 22.51 of this Act and the rules adopted thereunder or (ii) separated or processed and returned to the
economic mainstream in the form of raw materials or products, if it is not
speculatively accumulated and, if used as a fill material, it is used in
accordance with item (i), or (iii) solely
broken concrete without protruding metal bars used for erosion control, or
(iv) generated from the construction or demolition of a building, road, or
other structure and used to construct, on the site where the construction or
demolition has taken place, a manmade
functional structure not to exceed 20 feet above the highest point of
elevation of the property immediately adjacent to the new manmade functional
structure as that elevation existed prior to the creation of that new
structure,
provided that the structure shall be covered with sufficient soil
materials to sustain vegetation or by a road or structure, and further
provided that no such structure shall be constructed within
a home rule municipality with a population over 500,000 without the consent
of the municipality.
For purposes of this subsection (b), reclaimed or other asphalt pavement shall not be considered speculatively accumulated if: (i) it is not commingled with any other clean construction or demolition debris or any waste; (ii) it is returned to the economic mainstream in the form of raw materials or products within 4 years after its generation; (iii) at least 25% of the total amount present at a site during a calendar year is transported off of the site during the next calendar year; and (iv) if used as a fill material, it is used in accordance with item (i) of the second paragraph of this subsection (b).
(c) For purposes of this Section, the term "uncontaminated soil" means soil that does not contain contaminants in concentrations that pose a threat to human health and safety and the environment. (1) No later than one year after the effective date | ||
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(2) To the extent allowed under federal law and | ||
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(Source: P.A. 102-310, eff. 8-6-21.) |
(415 ILCS 5/3.165) (was 415 ILCS 5/3.06)
Sec. 3.165.
Contaminant.
"Contaminant" is any solid, liquid,
or gaseous matter, any odor, or any form of energy, from whatever source.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.170) (was 415 ILCS 5/3.63)
Sec. 3.170.
Contamination; contaminate.
"Contamination" or
"contaminate", when used in connection with groundwater, means water pollution
of such groundwater.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.175) (was 415 ILCS 5/3.80)
Sec. 3.175.
Criterion.
"Criterion" means the numerical
concentration of one or more toxic substances calculated by the Agency as a
basis for establishing
a permit limitation or violation of a water quality standard pursuant to
standards and procedures provided for in board regulations.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.180) (was 415 ILCS 5/3.07)
Sec. 3.180. Department. "Department", when a particular entity
is not
specified, means (i) in the case of a function to be performed on or after July
1, 1995 (the effective date of the Department of Natural Resources Act), either
the Department of Natural Resources or the Department of Commerce and Economic Opportunity (formerly Department of Commerce and Community
Affairs), whichever, in the specific context, is the successor to the Department
of Energy and Natural Resources under the Department of Natural Resources Act;
or (ii) in the case of a function performed before July 1, 1995, the former
Illinois Department of Energy and Natural Resources.
(Source: P.A. 94-793, eff. 5-19-06.)
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(415 ILCS 5/3.185) (was 415 ILCS 5/3.08)
Sec. 3.185.
Disposal.
"Disposal" means the discharge, deposit,
injection, dumping, spilling, leaking or placing of any waste or hazardous
waste into or on any land or water or into any well so that such waste or
hazardous waste or any constituent thereof may enter the environment or be
emitted into the air or discharged into any waters, including ground waters.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.190) (was 415 ILCS 5/3.09)
Sec. 3.190.
Existing fuel combustion stationary emission source.
"Existing
fuel combustion stationary emission source" means
any stationary furnace, boiler, oven, or similar equipment used
for the primary purpose of producing heat or power, of a type capable of
emitting specified air contaminants to the atmosphere, the construction or
modification of which commenced prior to April 13, 1972.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.195) (was 415 ILCS 5/3.10)
Sec. 3.195.
Fluid.
"Fluid" means material or substance which
flows or moves whether in a semi-solid, liquid, sludge, gas or any other form
or state.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.197)
Sec. 3.197. Food scrap. "Food scrap" means garbage that is (i) capable of being decomposed into compost by composting, (ii) separated by the generator from other waste, including, but not limited to, garbage that is not capable of being decomposed into compost by composting, and (iii) managed separately from other waste, including, but not limited to, garbage that is not capable of being decomposed into compost by composting. "Food scrap" includes, but is not limited to, packaging, utensils, and food containers composed of readily biodegradable material. For the purposes of this Section, packaging, utensils, and food containers are readily biodegradable if they meet the ASTM D6400 standard.
(Source: P.A. 96-418, eff. 1-1-10.) |
(415 ILCS 5/3.200) (was 415 ILCS 5/3.11)
Sec. 3.200.
Garbage.
"Garbage" is waste resulting from the
handling, processing, preparation, cooking, and consumption of food, and
wastes from the handling, processing, storage, and sale of produce.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.205) (was 415 ILCS 5/3.12)
Sec. 3.205.
Generator.
"Generator" means any person whose act
or process produces waste.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.207) Sec. 3.207. Greenhouse gases. "Greenhouse gases" or "GHG" means the air pollutant defined in 40 CFR 86.1818-12(a) as the aggregate group of 6 greenhouse gases: carbon dioxide, nitrous oxide, methane, hydrofluorocarbons, perfluorocarbons, and sulfur hexafluoride.
(Source: P.A. 97-95, eff. 7-12-11.) |
(415 ILCS 5/3.210) (was 415 ILCS 5/3.64)
Sec. 3.210.
Groundwater.
"Groundwater" means underground water
which occurs within the saturated zone and geologic materials where the fluid
pressure in the pore space is equal to or greater than atmospheric pressure.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.215) (was 415 ILCS 5/3.14)
Sec. 3.215.
Hazardous substance.
"Hazardous substance" means: (A) any substance
designated pursuant to Section 311(b)(2)(A) of the Federal Water Pollution
Control Act (P.L. 92-500), as amended, (B) any element, compound, mixture,
solution, or substance designated pursuant to Section 102 of the Comprehensive
Environmental Response, Compensation, and Liability Act of 1980 (P.L.
96-510), as amended, (C) any hazardous waste, (D) any toxic pollutant
listed under Section 307(a) of the Federal Water Pollution Control Act
(P.L. 92-500), as amended, (E) any hazardous air pollutant listed under
Section 112 of the Clean Air Act (P.L. 95-95), as amended, (F) any
imminently hazardous chemical substance or mixture with respect to which
the Administrator of the U.S. Environmental Protection Agency has taken
action pursuant to Section 7 of the Toxic Substances Control Act (P.L.
94-469), as amended. The term does not include petroleum, including crude
oil or any fraction thereof which is not otherwise specifically listed or
designated as a hazardous substance under subparagraphs (A) through (F) of
this paragraph, and the term does not include natural gas, natural gas
liquids, liquefied natural gas, or synthetic gas usable for fuel or
mixtures of natural gas and such synthetic gas.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.220) (was 415 ILCS 5/3.15)
Sec. 3.220.
Hazardous waste.
"Hazardous waste" means a waste,
or combination of
wastes, which because of its quantity, concentration, or physical, chemical,
or infectious characteristics may cause or significantly contribute to an
increase in mortality or an increase in serious, irreversible, or
incapacitating reversible, illness; or pose a substantial present or
potential hazard to human health or the environment when improperly
treated, stored, transported, or disposed of, or otherwise managed, and
which has been identified, by characteristics or listing, as hazardous
pursuant to Section 3001 of the Resource Conservation and Recovery Act
of 1976, P.L. 94-580, or pursuant to Board regulations.
Potentially infectious medical waste is not a hazardous waste, except for
those potentially infectious medical wastes identified by characteristics
or listing as hazardous under Section 3001 of the Resource Conservation
and Recovery Act of 1976, P.L. 94-580, or pursuant to Board regulations.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.225) (was 415 ILCS 5/3.16)
Sec. 3.225.
Hazardous waste disposal site.
"Hazardous waste
disposal site" is a site at which hazardous waste is disposed.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.230) (was 415 ILCS 5/3.89)
Sec. 3.230.
Household waste.
"Household waste" means any solid
waste (including
garbage, trash, and sanitary waste in septic tanks) derived from households
(including single and multiple residences, hotels and motels, bunkhouses,
ranger stations, crew quarters, campgrounds, picnic grounds, and day-use
recreation areas).
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.235) (was 415 ILCS 5/3.17)
Sec. 3.235.
Industrial process waste.
"Industrial process
waste" means any liquid,
solid, semi-solid, or gaseous waste generated as a direct or indirect result
of the manufacture of a product or the performance of a service. Any such
waste which would pose a present or potential threat to human health or to
the environment or with inherent properties which make the disposal of such
waste in a landfill difficult to manage by normal means is an industrial
process waste. "Industrial Process Waste" includes but is not limited to
spent pickling liquors, cutting oils, chemical catalysts, distillation
bottoms, etching acids, equipment cleanings, paint sludges, incinerator
ashes (including but not limited to ash resulting from the incineration of
potentially infectious medical waste), core sands, metallic dust sweepings,
asbestos dust, and off-specification, contaminated or recalled wholesale or
retail products. Specifically excluded are uncontaminated packaging
materials, uncontaminated machinery components, general household waste,
landscape waste and construction or demolition debris.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.240) (was 415 ILCS 5/3.18)
Sec. 3.240.
Intermittent control system.
"Intermittent control
system" is a system which
provides for the planned reduction of source emissions of sulfur dioxide during
periods when meteorological conditions are such, or are anticipated to be such,
that sulfur dioxide ambient air quality standards may be violated unless such
reductions are made.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.245) (was 415 ILCS 5/3.72)
Sec. 3.245.
Label.
"Label" means the written, printed or
graphic matter on or attached to the pesticide or device or any of its
containers or wrappings.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.250) (was 415 ILCS 5/3.73)
Sec. 3.250.
Labeling.
"Labeling" means the label and all other
written, printed or graphic matters: (a) on the pesticide or device or any of
its containers or wrappings, (b) accompanying the pesticide or device or
referring to it in any other media used to disseminate information to the
public, (c) to which reference is made to the pesticide or device except
when references are made to current official publications of the U. S.
Environmental Protection Agency, Departments of Agriculture, Health
and Human Services or other Federal Government institutions, the state
experiment station or colleges of agriculture or other similar state
institution authorized to conduct research in the field of pesticides.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.255) (was 415 ILCS 5/3.79)
Sec. 3.255.
Land form.
"Land form" means a manmade above-grade
mound, less than 50 feet in height, covered with sufficient soil materials
to sustain vegetation.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.260) (was 415 ILCS 5/3.19)
Sec. 3.260.
Landfill gas recovery facility.
"Landfill gas
recovery facility" means any facility which recovers and processes landfill
gas from a sanitary landfill or waste disposal site.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.265) (was 415 ILCS 5/3.75)
Sec. 3.265.
Landfill waste.
"Landfill waste" is waste from
a closed pollution control facility, closed dumping site, closed sanitary
landfill, or a closed waste disposal site; provided however, "landfill waste"
shall not include waste removed by or pursuant to the authority of the State
or a unit of local government from the public way or household waste removed
by or pursuant to the authority of the State or a unit of local government
from any unauthorized open dumping site.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.270) (was 415 ILCS 5/3.20)
Sec. 3.270.
Landscape waste.
"Landscape waste" means all
accumulations of grass or shrubbery cuttings, leaves, tree limbs and other
materials accumulated as the result of the care of lawns, shrubbery, vines and
trees.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.275) (was 415 ILCS 5/3.88)
Sec. 3.275.
Lateral expansion.
"Lateral expansion" means a
horizontal expansion of
the actual waste boundaries of an existing MSWLF unit occurring on or after
October 9, 1993. For purposes of this Section, a horizontal expansion is any
area where solid waste is placed for the first time directly upon the bottom
liner of the unit, excluding side slopes, on or after October 9, 1993.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.280) (was 415 ILCS 5/3.92)
Sec. 3.280.
Lawncare wash water containment area.
"Lawncare wash water containment area" means an
area utilized for the capture of spills or washing or rinsing of pesticide
residues from vehicles, application equipment, mixing equipment, floors,
loading areas, or other items used for the storage, handling, preparation
for use, transport, or application of pesticides to land areas covered with
turf kept closely mown or land area covered with turf and trees or shrubs.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.282)
Sec. 3.282. Livestock waste. "Livestock waste" means "livestock waste" as defined in the Livestock Management Facilities Act.
(Source: P.A. 96-418, eff. 1-1-10.) |
(415 ILCS 5/3.283)
Sec. 3.283. Mercury relay. "Mercury relay" means a product or device, containing mercury added during its manufacture, that opens or closes electrical contacts to effect the operation of other devices in the same or another electrical circuit. "Mercury relay" includes, but is not limited to, mercury displacement relays, mercury wetted reed relays, and mercury contact relays.
(Source: P.A. 93-964, eff. 8-20-04.) |
(415 ILCS 5/3.284) Sec. 3.284. Mercury switch. "Mercury switch" means a product or device, containing mercury added during its manufacture, that opens or closes an electrical circuit or gas valve, or makes, breaks, or changes the connection in an electrical circuit, including, but not limited to, mercury float switches actuated by rising or falling liquid levels, mercury tilt switches actuated by a change in the switch position, mercury pressure switches actuated by a change in pressure, mercury temperature switches actuated by a change in temperature, and mercury flame sensors.
(Source: P.A. 97-459, eff. 7-1-12 .) |
(415 ILCS 5/3.285) (was 415 ILCS 5/3.85, 3.86, and 3.87)
Sec. 3.285.
Municipal Solid Waste Landfill Unit; MSWLF unit.
"Municipal Solid Waste Landfill Unit" or "MSWLF unit" means
a contiguous area of land or an excavation that receives household
waste, and that is not a land application unit, surface impoundment, injection
well, or any pile of noncontainerized accumulations of solid, nonflowing waste
that is used for treatment or storage. A MSWLF unit may also receive other
types of RCRA Subtitle D wastes, such as commercial solid waste, nonhazardous
sludge, small quantity generator waste and industrial solid waste. Such a
landfill may be publicly or privately owned. A MSWLF unit may be a new MSWLF
unit, an existing MSWLF unit, or a lateral expansion. A sanitary landfill is
subject to regulation as a MSWLF unit if it receives household waste.
"New MSWLF unit" means any municipal solid waste landfill
unit that receives household waste on or after October 9, 1993, for the first
time.
"Existing MSWLF unit" means any municipal solid waste
landfill unit that has received solid waste before October 9, 1993.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.290) (was 415 ILCS 5/3.21)
Sec. 3.290.
Municipal waste.
"Municipal waste" means garbage,
general household and commercial waste, industrial lunchroom or office waste,
landscape waste, and construction or demolition debris.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.295) (was 415 ILCS 5/3.22)
Sec. 3.295.
Municipality.
"Municipality" means any city,
village or incorporated town.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.298) Sec. 3.298. Nonattainment new source review (NA NSR) permit. "Nonattainment New Source Review permit" or "NA NSR permit" means a permit or a portion of a permit for a new major source or major modification that is issued by the Illinois Environmental Protection Agency under the construction permit program pursuant to subsection (c) of Section 9.1 that has been approved by the United States Environmental Protection Agency and incorporated into the Illinois State Implementation Plan to implement the requirements of Section 173 of the Clean Air Act and 40 CFR 51.165.
(Source: P.A. 99-463, eff. 1-1-16 .) |
(415 ILCS 5/3.300) (was 415 ILCS 5/3.23)
Sec. 3.300.
Open burning.
"Open burning" is the combustion of
any matter in the open or in an open dump.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.305) (was 415 ILCS 5/3.24)
Sec. 3.305.
Open dumping.
"Open dumping" means the
consolidation of refuse from one or more sources at a disposal site
that does not fulfill the requirements of a sanitary landfill.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.310) (was 415 ILCS 5/3.25)
Sec. 3.310.
Organized amateur or professional sporting activity.
"Organized amateur or professional sporting activity" means
an activity or event carried out at a facility by persons
who engaged in that activity as a business or for education, charity or
entertainment for the general public, including all necessary actions and
activities associated with such an activity. This definition includes, but is
not limited to, (i) rifle and pistol ranges, licensed shooting preserves, and
skeet, trap or shooting sports clubs in existence prior to January 1, 1994,
(ii) public hunting areas operated by a governmental entity, (iii) organized
motor sports, and (iv) sporting events organized or controlled by school
districts, units of local government, state agencies, colleges, universities,
or professional sports clubs offering exhibitions to the public.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.315) (was 415 ILCS 5/3.26)
Sec. 3.315.
Person.
"Person" is any individual, partnership,
co-partnership, firm, company, limited liability company, corporation,
association, joint stock company, trust, estate, political subdivision, state
agency, or any other legal entity, or their legal representative, agent or
assigns.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.320) (was 415 ILCS 5/3.71)
Sec. 3.320.
Pesticide.
"Pesticide" means any substance or
mixture of substances intended for preventing, destroying, repelling, or
mitigating any pest or any substance or mixture of substances intended for
use as a plant regulator, defoliant or desiccant.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.325) (was 415 ILCS 5/3.74)
Sec. 3.325.
Pesticide release.
"Pesticide release" or "release
of a pesticide"
means any release resulting in a concentration of pesticides in waters of the
State which exceeds levels for which: (1) a Maximum Contaminant Level (MCL)
has been promulgated by the U. S. Environmental Protection Agency or a Maximum
Allowable Concentration (MAC) has been promulgated by the Board pursuant to the
Safe Drinking Water Act (P.L. 93-523), as amended; or (2) a Health Advisory
used on an interim basis has been issued by the U. S. Environmental Protection
Agency; or (3) a standard has been adopted by the Board pursuant to the
Illinois Groundwater Protection Act; or (4) in the absence of such advisories
or standards, an action level has been developed by the Agency using guidance
or procedures issued by the federal government for developing health based
levels.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.330) (was 415 ILCS 5/3.32)
Sec. 3.330. Pollution control facility.
(a) "Pollution control facility" is any waste storage site, sanitary
landfill, waste disposal site, waste transfer station, waste treatment
facility, or waste incinerator. This includes sewers, sewage treatment
plants, and any other facilities owned or operated by sanitary districts
organized under the Metropolitan Water Reclamation District Act.
The following are not pollution control facilities:
(1) (blank);
(2) waste storage sites regulated under 40 CFR 761.42;
(3) sites or facilities used by any person conducting | ||
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(4) sites or facilities at which the State is | ||
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(5) abandoned quarries used solely for the disposal | ||
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(6) sites or facilities used by any person to | ||
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(7) regional facilities as defined in the Central | ||
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(8) the portion of a site or facility where coal | ||
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(9) the portion of a site or facility used for the | ||
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(10) the portion of a site or facility used for | ||
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(11) the portion of a site or facility where used oil | ||
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(11.5) processing sites or facilities that receive | ||
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(12) the portion of a site or facility utilizing coal | ||
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(13) the portion of a site or facility regulated | ||
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(14) the portion of a site or facility, located | ||
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(15) the portion of a site or facility located in a | ||
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(16) a site or facility that temporarily holds in | ||
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(17) the portion of a site or facility located in a | ||
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(18) a transfer station used exclusively for | ||
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(19) the portion of a site or facility that (i) is | ||
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(A) There must not be more than a total of 30,000 | ||
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(B) All food scrap, livestock waste, crop | ||
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(i) The portion of the site or facility used | ||
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(ii) The portion of the site or facility used | ||
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(iii) Except in municipalities with more than | ||
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(iv) The portion of the site or facility used | ||
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(I) Facilities that primarily serve to | ||
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(II) Primary and secondary schools and | ||
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(III) Any facility for child care | ||
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(v) By the end of each operating day, all | ||
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(C) Food scrap, livestock waste, crop residue, | ||
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(D) The site or facility must meet all of the | ||
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(E) The site or facility must not (i) restrict | ||
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(F) The site or facility must not be located in | ||
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(i) an irreplaceable historic or | ||
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(ii) a natural landmark has been designated | ||
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(iii) a natural area has been designated as a | ||
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(G) The site or facility must not be located in | ||
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(20) the portion of a site or facility that is | ||
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(i) the portion of the site or facility is used | ||
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(ii) the portion of the site or facility is in | ||
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(iii) a complete application for a demonstration | ||
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(21) the portion of a site or facility used to | ||
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(22) the portion of a site or facility that is used | ||
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(23) the portion of a site or facility: (A) that is used exclusively for the transfer of | ||
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(B) that is located entirely within a home rule | ||
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(C) that is permitted, by the Agency, prior to | ||
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(D) for which a permit application is submitted | ||
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(24) the portion of a municipal solid waste | ||
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(A) that is located in a county having a | ||
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(B) that is owned by that county; (C) that is permitted, by the Agency, prior to | ||
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(D) for which a permit application is submitted | ||
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(25) the portion of a site or facility used during a | ||
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(26) the portion of a mine used for the placement of | ||
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(b) A new pollution control facility is:
(1) a pollution control facility initially permitted | ||
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(2) the area of expansion beyond the boundary of a | ||
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(3) a permitted pollution control facility | ||
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(Source: P.A. 102-216, eff. 1-1-22; 102-310, eff. 8-6-21; 102-813, eff. 5-13-22; 103-333, eff. 1-1-24 .)
|
(415 ILCS 5/3.335) (was 415 ILCS 5/3.27)
Sec. 3.335.
Pollution control waste.
"Pollution control waste"
means any liquid, solid, semi-solid or gaseous waste generated as a direct
or indirect result of the removal of contaminants from the air,
water or land, and which pose a present or potential threat
to human health or to the environment or with inherent
properties which make the disposal of such waste in a landfill
difficult to manage by normal means. "Pollution control waste"
includes but is not limited to water and wastewater treatment
plant sludges, baghouse dusts, landfill waste, scrubber sludges
and chemical spill cleanings.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.340) (was 415 ILCS 5/3.65)
Sec. 3.340.
Potable.
"Potable" means generally fit for human
consumption in accordance with accepted water supply principles and practices.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.345) (was 415 ILCS 5/3.59)
Sec. 3.345.
Potential primary source.
"Potential primary
source" means any unit at a facility or site not currently subject to a
removal or remedial action which:
(1) is utilized for the treatment, storage, or | ||
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(2) is utilized for the disposal of municipal waste | ||
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(3) is utilized for the landfilling, land treating, | ||
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(4) stores or accumulates at any time more than | ||
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A new potential primary source is:
(i) a potential primary source which is not in | ||
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(ii) a potential primary source which expands | ||
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(iii) a potential primary source which is part of a | ||
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Construction shall be deemed commenced when all necessary federal,
State and local approvals have been obtained, and work at the site has been
initiated and proceeds in a reasonably continuous manner to completion.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.350) (was 415 ILCS 5/3.58)
Sec. 3.350. Potential route. "Potential route" means abandoned
and improperly plugged wells of all kinds, drainage wells, all injection wells,
including closed loop heat pump wells, and any excavation for the discovery,
development or production of stone, sand or gravel. This term does not include closed loop heat pump wells using USP food grade propylene glycol.
A new potential route is:
(1) a potential route which is not in existence or | ||
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(2) a potential route which expands laterally beyond | ||
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Construction shall be deemed commenced when all necessary federal,
State and local approvals have been obtained, and work at the site has been
initiated and proceeds in a reasonably continuous manner to completion.
(Source: P.A. 94-1048, eff. 1-1-07.)
|
(415 ILCS 5/3.355) (was 415 ILCS 5/3.60)
Sec. 3.355.
Potential secondary source.
"Potential secondary
source" means any unit at a facility or a site not currently subject to a
removal or remedial action, other than a potential primary source, which:
(1) is utilized for the landfilling, land treating, | ||
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(2) stores or accumulates at any time more than | ||
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(3) stores or accumulates at any time more than | ||
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(4) stores or accumulates pesticides, fertilizers, or | ||
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(5) stores or accumulates at any time more than | ||
| ||
(6) is utilized for handling livestock waste or for | ||
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A new potential secondary source is:
(i) a potential secondary source which is not in | ||
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(ii) a potential secondary source which expands | ||
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(iii) a potential secondary source which is part of a | ||
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Construction shall be deemed commenced when all necessary federal,
State and local approvals have been obtained, and work at the site has been
initiated and proceeds in a reasonably continuous manner to completion.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.360) (was 415 ILCS 5/3.84)
Sec. 3.360. Potentially infectious medical waste.
(a) "Potentially infectious medical waste" means
the following types of waste generated in connection with the diagnosis,
treatment (i.e., provision of medical services), or immunization of
human beings or animals; research pertaining to the provision of medical
services; or the production or testing of biologicals:
(1) Cultures and stocks. This waste shall include but | ||
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(2) Human pathological wastes. This waste shall | ||
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(3) Human blood and blood products. This waste shall | ||
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(4) Used sharps. This waste shall include but not be | ||
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(5) Animal waste. Animal waste means discarded | ||
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(6) Isolation waste. This waste shall include | ||
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(7) Unused sharps. This waste shall include but not | ||
| ||
(b) Potentially infectious medical waste does not include:
(1) waste generated as general household waste;
(2) waste (except for sharps) for which the | ||
| ||
(3) sharps that meet both of the following conditions:
(A) the infectious potential has been eliminated | ||
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(B) the sharps are rendered unrecognizable by | ||
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(4) sharps that are managed in accordance with the | ||
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(A) the infectious potential is eliminated from | ||
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(B) the sharps are certified by the treatment | ||
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(C) the sharps are packaged at the treatment | ||
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(D) the sharps are transported under the custody | ||
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(E) the activities in subparagraphs (A) through | ||
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(Source: P.A. 98-366, eff. 1-1-14.)
|
(415 ILCS 5/3.363) Sec. 3.363. Prevention of significant deterioration (PSD) permit. "Prevention of Significant Deterioration permit" or "PSD permit" means a permit or the portion of a permit for a new major source or major modification that is issued by the Illinois Environmental Protection Agency under the construction permit program pursuant to subsection (c) of Section 9.1 that has been approved by the United States Environmental Protection Agency and incorporated into the Illinois State Implementation Plan to implement the requirements of Section 165 of the Clean Air Act and 40 CFR 51.166.
(Source: P.A. 99-463, eff. 1-1-16 .) |
(415 ILCS 5/3.365) (was 415 ILCS 5/3.28)
Sec. 3.365.
Public water supply.
"Public water supply" means
all mains, pipes and
structures through which water is obtained and distributed to the public,
including wells and well structures, intakes and cribs, pumping stations,
treatment plants, reservoirs, storage tanks and appurtenances,
collectively or severally, actually used or intended for use for the
purpose of furnishing water for drinking or general domestic use and which
serve at least 15 service connections or which regularly serve at least
25 persons at least 60 days per year. A public water supply is either a
"community water supply" or a "non-community water supply".
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.370) (was 415 ILCS 5/3.29)
Sec. 3.370.
RCRA permit.
"RCRA permit" means a permit issued
by the Agency pursuant to authorization received by the Agency from the United
States Environmental Protection Agency under Subtitle C of the Resource
Conservation and Recovery Act of 1976, (P.L. 94-580) (RCRA) and which meets
the requirements of Section 3005 of RCRA and of this Act.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.375) (was 415 ILCS 5/3.81)
Sec. 3.375.
Recycling center.
"Recycling center" means a
site or facility that accepts only segregated, nonhazardous, nonspecial,
homogeneous, nonputrescible materials, such as dry paper, glass, cans or
plastics, for subsequent use in the secondary materials market.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.380) (was 415 ILCS 5/3.30)
Sec. 3.380.
Recycling, reclamation or reuse.
"Recycling, reclamation or reuse" means a method,
technique, or process designed to remove any contaminant from waste so as to
render such waste reusable, or any process by which materials that would
otherwise be disposed of or discarded are collected, separated or processed
and returned to the economic mainstream in the form of raw materials or
products.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.385) (was 415 ILCS 5/3.31)
Sec. 3.385.
Refuse.
"Refuse" means waste.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.390) (was 415 ILCS 5/3.67)
Sec. 3.390.
Regulated recharge area.
"Regulated recharge area"
means a compact geographic area, as determined by the Board, the geology of
which renders a potable resource groundwater particularly susceptible to
contamination.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.395) (was 415 ILCS 5/3.33)
Sec. 3.395.
Release.
"Release" means any spilling, leaking,
pumping, pouring, emitting, emptying, discharging, injecting, escaping,
leaching, dumping, or disposing into the environment, but excludes (a) any
release which results in exposure to persons solely within a workplace, with
respect to a claim which such persons may assert against the employer of such
persons; (b) emissions from the engine exhaust of a motor vehicle, rolling
stock, aircraft, vessel, or pipeline pumping station engine; (c) release of
source, byproduct, or special nuclear material from a nuclear incident, as
those terms are defined in the Atomic Energy Act of 1954, if such release
is subject to requirements with respect to financial protection established
by the Nuclear Regulatory Commission under Section 170 of such Act; and (d)
the normal application of fertilizer.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.400) (was 415 ILCS 5/3.34)
Sec. 3.400.
Remedial action.
"Remedial action" means those
actions consistent
with permanent remedy taken instead of or in addition to removal actions in
the event of a release or threatened release of a hazardous substance into the
environment, to prevent or minimize the release of hazardous substances so that
they do not migrate to cause substantial danger to present or future public
health or welfare or the environment. The term includes, but is not limited
to, such actions at the location of the release as storage,
confinement, perimeter protection using dikes, trenches, or ditches, clay
cover, neutralization, cleanup of released hazardous substances or
contaminated materials, recycling or reuse, diversion destruction,
segregation of reactive wastes, dredging or excavations, repair or
replacement of leaking containers, collection of leachate and runoff,
onsite treatment or incineration, provision of alternative
water supplies, and any monitoring reasonably required to assure that such
actions protect the public health and welfare and the environment. The
term includes the costs of permanent relocation of residents and businesses
and community facilities where the Governor and the Director determine
that, alone or in combination with other measures, such relocation is more
cost-effective than and environmentally preferable to the transportation,
storage, treatment, destruction, or secure disposition offsite of hazardous
substances, or may otherwise be necessary to protect the public health or
welfare. The term includes offsite transport of
hazardous substances,
or the storage, treatment, destruction, or secure disposition offsite of
such hazardous substances or contaminated materials.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.405) (was 415 ILCS 5/3.35)
Sec. 3.405.
Remove; removal.
"Remove" or "removal" means the
cleanup or removal of released hazardous substances from the environment,
actions as may be necessary taken in the event of the threat of release of
hazardous substances into the environment, actions as may be necessary to
monitor, assess, and evaluate the release or threat of release of hazardous
substances, the disposal of removed material, or the taking of other
actions as may be necessary to prevent, minimize, or mitigate damage to the
public health or welfare or the environment, that may otherwise result
from a release or threat of release. The term includes, in addition,
without being limited to, security fencing or other measures to limit
access, provision of alternative water supplies, temporary evacuation and
housing of threatened individuals, and any emergency assistance that may
be provided under the Illinois Emergency Management Agency Act or any other
law.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.410) (was 415 ILCS 5/3.36)
Sec. 3.410.
Re-refined oil.
"Re-refined oil" means any oil
which has been refined from used oil meeting substantially the same standards
as new oil.
(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/3.415) (was 415 ILCS 5/3.37)
Sec. 3.415.
Resident.
"Resident" means a person who dwells or
has a place of abode which is occupied by that person for 60 days or more each
calendar year.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.420) (was 415 ILCS 5/3.38)
Sec. 3.420.
Resource conservation.
"Resource conservation"
means reduction of the amounts of waste that are generated, reduction of
overall resource consumption and the utilization of recovered resources.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.425) (was 415 ILCS 5/3.90)
Sec. 3.425.
Resource Conservation and Recovery Act; RCRA.
"Resource Conservation and Recovery Act" or "RCRA" means the Resource
Conservation and Recovery Act of 1976 (P.L. 94-580), as amended.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.430) (was 415 ILCS 5/3.66)
Sec. 3.430.
Resource groundwater.
"Resource groundwater" means
groundwater that is presently being or in the future capable of being put to
beneficial use by reason of being of suitable quality.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.435) (was 415 ILCS 5/3.39)
Sec. 3.435.
Resource recovery.
"Resource recovery" means the
recovery of material or energy from waste.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.440) (was 415 ILCS 5/3.40)
Sec. 3.440.
Respond; response.
"Respond" or "response" means
remove, removal, remedy, and remedial action.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.445) (was 415 ILCS 5/3.41)
Sec. 3.445.
Sanitary landfill.
"Sanitary landfill" means a facility permitted by the Agency for
the disposal of waste on land meeting the requirements of the Resource
Conservation and Recovery Act, P.L. 94-580, and regulations thereunder,
and without creating nuisances or hazards to public health or safety, by
confining the refuse to the smallest practical volume and covering it
with a layer of earth at the conclusion of each day's operation, or by
such other methods and intervals as the Board may provide by regulation.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.450) (was 415 ILCS 5/3.61)
Sec. 3.450.
Setback zone.
"Setback zone" means a geographic area, designated
pursuant to this Act, containing a potable water supply well or a potential
source or potential route, having a continuous boundary, and within which
certain prohibitions or regulations are applicable in order to protect
groundwaters.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.455) (was 415 ILCS 5/3.42)
Sec. 3.455.
Sewage works.
"Sewage works" means individually or collectively
those constructions or devices used for collecting, pumping, treating, and
disposing of sewage, industrial waste or other wastes or for the recovery of
by-products from such wastes.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.458)
Sec. 3.458. Sharps collection station.
(a) "Sharps collection station" means a designated area at an applicable
facility where (i) hypodermic, intravenous, or other medical needles or syringes or other sharps, or (ii) medical household waste containing
medical sharps, including, but not limited to, hypodermic, intravenous, or
other medical needles or syringes or other sharps, are collected
for transport, storage, treatment, transfer, or disposal.
(b) For purposes of this Section, "applicable facility" means any of the
following:
(1) A hospital.
(2) An ambulatory surgical treatment center, | ||
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(3) A pharmacy employing a registered pharmacist.
(4) The principal place of business of any government | ||
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(Source: P.A. 94-641, eff. 8-22-05.) |
(415 ILCS 5/3.460) (was 415 ILCS 5/3.43)
Sec. 3.460.
Site.
"Site" means any location, place, tract of land,
and facilities, including but not limited to buildings, and improvements used
for purposes subject to regulation or control by this Act or regulations
thereunder.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.465) (was 415 ILCS 5/3.44)
Sec. 3.465.
Sludge.
"Sludge" means any solid, semi-solid, or
liquid waste generated from a municipal, commercial, or industrial wastewater
treatment plant, water supply treatment plant, or air pollution control
facility or any other such waste having similar characteristics and effects.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.470) (was 415 ILCS 5/3.82)
Sec. 3.470.
Solid waste.
"Solid waste" means waste.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.475) (was 415 ILCS 5/3.45) (Text of Section before amendment by P.A. 103-887 ) Sec. 3.475. Special waste. "Special waste" means any of the
following: (a) potentially infectious medical waste; (b) hazardous waste, as determined in conformance with RCRA hazardous waste
determination requirements set forth in Section 722.111 of Title 35 of the
Illinois Administrative Code, including a
residue from burning or processing hazardous waste in a boiler or industrial
furnace unless the residue has been tested in accordance with Section 726.212
of Title 35 of the Illinois Administrative Code and proven to be nonhazardous; (c) industrial process waste or pollution control waste, except: (1) any such waste certified by its generator, | ||
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(A) a liquid, as determined using the paint | ||
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(B) regulated asbestos-containing waste | ||
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(C) polychlorinated biphenyls (PCB's) regulated | ||
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(D) an industrial process waste or pollution | ||
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(E) a waste material generated by processing | ||
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(2) any empty portable device or container, including | ||
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(3) as may otherwise be determined under Section 22.9 | ||
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"Special waste" does not mean fluorescent and high intensity discharge
lamps as defined in subsection (a) of Section 22.23a
of this Act, waste that is managed in
accordance with the universal waste requirements set forth in Title 35 of the
Illinois Administrative Code, Subtitle G, Chapter I, Subchapter c, Part 733, or
waste that is subject to rules adopted pursuant to subsection (c)(2) of Section
22.23a of this Act. (Source: P.A. 92-574, eff. 6-26-02.) (Text of Section after amendment by P.A. 103-887 ) Sec. 3.475. Special waste. "Special waste" means any of the following: (a) potentially infectious medical waste; (b) hazardous waste, as determined in conformance with RCRA hazardous waste determination requirements set forth in Section 722.111 of Title 35 of the Illinois Administrative Code, including a residue from burning or processing hazardous waste in a boiler or industrial furnace unless the residue has been tested in accordance with Section 726.212 of Title 35 of the Illinois Administrative Code and proven to be nonhazardous; (c) industrial process waste or pollution control waste, except: (1) any such waste certified by its generator, | ||
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(A) a liquid, as determined using the paint | ||
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(B) regulated asbestos-containing waste | ||
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(C) polychlorinated biphenyls (PCB's) regulated | ||
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(D) an industrial process waste or pollution | ||
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(E) a waste material generated by processing | ||
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(2) any empty portable device or container, including | ||
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(3) as may otherwise be determined under Section 22.9 | ||
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"Special waste" does not mean fluorescent and high intensity discharge lamps as defined in subsection (a) of Section 22.23a of this Act, paint and paint-related waste as defined in subsection (a) of Section 22.23e of this Act, waste that is managed in accordance with the universal waste requirements set forth in Title 35 of the Illinois Administrative Code, Subtitle G, Chapter I, Subchapter c, Part 733, or waste that is subject to rules adopted pursuant to subsection (c)(2) of Section 22.23a of this Act or subsection (b) of Section 22.23e of this Act. (Source: P.A. 103-887, eff. 1-1-25.) |
(415 ILCS 5/3.480) (was 415 ILCS 5/3.46)
Sec. 3.480.
Storage.
"Storage" means the containment of waste,
either on a temporary basis or for a period of years, in such a manner as not
to constitute disposal.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.485) (was 415 ILCS 5/3.47)
Sec. 3.485.
Storage site.
"Storage site" is a site at which
waste is stored. "Storage site" includes transfer stations but does
not include (i) a site that accepts or receives waste in transfer containers
unless the waste is removed from the transfer container or unless the transfer
container becomes stationary, en route to a disposal, treatment, or storage
facility for more than 5 business days, or (ii) a site that accepts or receives
open top units containing only clean construction and demolition debris, or
(iii) a site that stores waste on a refuse motor vehicle
or in the vehicle's detachable refuse receptacle for no more than 24
hours, excluding Saturdays, Sundays, and holidays, but only if the
detachable refuse receptacle is completely covered
or enclosed and is stored on the same site as the refuse motor vehicle that
transported the receptacle to the site.
Nothing in this Section shall be construed to be less stringent than or
inconsistent with the provisions of the federal Resource Conservation and
Recovery Act of 1976 (P.L. 94-480) or regulations adopted under it.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.487)
Sec. 3.487. Surface discharging private sewage disposal system. "Surface discharging private sewage disposal system" means a sewage disposal system that discharges into the waters of the United States, as that term is used in the Federal Water Pollution Control Act.
(Source: P.A. 96-801, eff. 1-1-10.) |
(415 ILCS 5/3.488) Sec. 3.488. Time-limited water quality standard. "Time-limited water quality standard" has the meaning ascribed to the term "water quality standards variance" in 40 CFR 131.3(o).
(Source: P.A. 99-937, eff. 2-24-17.) |
(415 ILCS 5/3.490) (was 415 ILCS 5/3.48)
Sec. 3.490.
Trade secret.
"Trade secret" means the whole or
any portion or phase of any scientific or technical information, design,
process (including a manufacturing process), procedure, formula or improvement,
or business plan which is secret in that it has not been published or
disseminated or otherwise become a matter of general public knowledge, and
which has competitive value. A trade secret is presumed to be secret when the
owner thereof takes reasonable measures to prevent it from becoming available
to persons other than those selected by the owner to have access thereto for
limited purposes.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.495) (was 415 ILCS 5/3.48-5)
Sec. 3.495.
Transfer container.
"Transfer container" means a
reusable transportable shipping container that is completely covered
or enclosed, that has a volume of not less than 250 cubic feet based on the
external dimensions, and that is constructed and maintained to protect the
container contents (which may include smaller containers that are or are not
transfer containers) from water, rain, and wind, to prevent the
free movement of rodents and vectors into or out of the container,
and to prevent leaking from the container.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.500) (was 415 ILCS 5/3.83)
Sec. 3.500.
Transfer station.
"Transfer station" means a site
or facility that
accepts waste for temporary storage or consolidation and further transfer to a
waste disposal, treatment or storage facility. "Transfer station" includes
a site where waste is transferred from (1) a rail carrier to a motor vehicle
or water carrier; (2) a water carrier to a rail carrier or motor vehicle;
(3) a motor vehicle to a rail carrier, water carrier or motor vehicle; (4)
a rail carrier to a rail carrier, if the waste is removed from a rail car;
or (5) a water carrier to a water carrier, if the waste is removed from a
vessel.
"Transfer station" does not include (i) a site where waste is not removed
from the transfer container, or (ii) a site that accepts or receives open top
units containing only clean construction and demolition debris, or (iii) a site
that stores waste on a refuse motor vehicle
or in the vehicle's detachable refuse receptacle for no more than 24
hours, excluding Saturdays, Sundays, and holidays, but only if the
detachable refuse receptacle is completely covered
or enclosed and is stored on the same site as the refuse motor vehicle that
transported the receptacle to the site.
Nothing in this Section shall be construed to be less stringent than or
inconsistent with the provisions of the federal Resource Conservation and
Recovery Act of 1976 (P.L. 94-480) or regulations adopted under it.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.505) (was 415 ILCS 5/3.49)
Sec. 3.505.
Treatment.
"Treatment" means any method,
technique or process, including
neutralization, designed to change the physical, chemical, or biological
character or composition of any waste so as to neutralize it or render it
nonhazardous, safer for transport, amenable for recovery, amenable for
storage, or reduced in volume. Such term includes any activity or
processing designed to change the physical form or chemical composition of
hazardous waste so as to render it nonhazardous.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.510) (was 415 ILCS 5/3.50)
Sec. 3.510.
Underground injection.
"Underground injection"
means the subsurface emplacement of fluids by well injection.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.515) (was 415 ILCS 5/3.62)
Sec. 3.515.
Unit.
"Unit" means any device, mechanism,
equipment, or area (exclusive of land utilized only for agricultural
production). This term includes secondary containment structures and their
contents at agrichemical facilities.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.520) (was 415 ILCS 5/3.51)
Sec. 3.520.
Used oil.
"Used oil" means any oil which has been refined from crude oil or
refined from used oil, has been used, and as a result of such use has been
contaminated by physical or chemical impurities, except that "used oil"
shall not include that type of oil generated on farmland property devoted
to agricultural use and used on that property for heating or burning.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.525) (was 415 ILCS 5/3.91)
Sec. 3.525.
Vegetable by-products.
"Vegetable by-products" means any waste consisting
solely of the unused portion of fruits and vegetables, associated solids, and
process water resulting from any commercial canning, freezing, preserving or
other processing of fruits and vegetables. Vegetable by-products are not
special wastes.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.530) (was 415 ILCS 5/3.52)
Sec. 3.530.
Virgin oil.
"Virgin oil" means any oil which
has been refined from crude oil which may or may not contain additives and
has not been used.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.535) (was 415 ILCS 5/3.53)
Sec. 3.535.
Waste.
"Waste" means any garbage, sludge from a waste treatment plant,
water supply treatment plant, or air pollution control facility or other
discarded material, including solid, liquid, semi-solid, or contained
gaseous material resulting from industrial, commercial, mining and
agricultural operations, and from community activities, but does not
include solid or dissolved material in domestic sewage, or solid or
dissolved materials in irrigation return flows, or coal combustion
by-products as defined in Section 3.135, or industrial
discharges which are point sources subject to permits under Section
402 of the Federal Water Pollution Control Act, as now or hereafter
amended, or source, special nuclear, or by-product materials as
defined by the Atomic Energy Act of 1954, as amended (68 Stat. 921)
or any solid or dissolved material from any facility subject to
the Federal Surface Mining Control and Reclamation Act of 1977 (P.L.
95-87) or the rules and regulations thereunder or any law or rule or
regulation adopted by the State of Illinois pursuant thereto.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.540) (was 415 ILCS 5/3.54)
Sec. 3.540.
Waste disposal site.
"Waste disposal site" is a site on which solid waste is disposed.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.545) (was 415 ILCS 5/3.55)
Sec. 3.545.
Water pollution.
"Water pollution" is such alteration of the
physical, thermal, chemical, biological or radioactive properties of any
waters of the State, or such discharge of any contaminant into any waters of
the State, as will or is likely to create a nuisance or render such waters
harmful or detrimental or injurious to public health, safety or welfare,
or to domestic, commercial, industrial, agricultural, recreational, or other
legitimate uses, or to livestock, wild animals, birds, fish, or other aquatic
life.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.550) (was 415 ILCS 5/3.56)
Sec. 3.550.
Waters.
"Waters" means all accumulations of
water, surface and underground, natural, and artificial, public and private,
or parts thereof, which are wholly or partially within, flow through, or
border upon this State.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.555) (was 415 ILCS 5/3.57)
Sec. 3.555.
Well.
"Well" means a bored, drilled or driven
shaft, or dug hole, the depth of which is greater than the largest surface
dimension.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/3.560) Sec. 3.560. Exceptional Quality biosolids. "Exceptional Quality biosolids" means solids that: (1) are generated from the advanced processing of | ||
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(2) do not exceed the ceiling concentration limits | ||
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(3) meet the requirements for classification as | ||
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(4) meet one of the vector attraction reduction | ||
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(Source: P.A. 99-67, eff. 7-20-15.) |
(415 ILCS 5/4) (from Ch. 111 1/2, par. 1004) Sec. 4. Environmental Protection Agency; establishment; duties. (a) There is established in the Executive Branch of the State Government an agency to be known as the Environmental Protection Agency. This Agency shall be under the supervision and direction of a Director who shall be appointed by the Governor with the advice and consent of the Senate. The term of office of the Director shall expire on the third Monday of January in odd numbered years, provided that he or she shall hold office until a successor is appointed and has qualified. For terms beginning after January 18, 2019 (the effective date of Public Act 100-1179) and before January 16, 2023, the Director's annual salary shall be an amount equal to 15% more than the Director's annual salary as of December 31, 2018. The calculation of the 2018 salary base for this adjustment shall not include any cost of living adjustments, as authorized by Senate Joint Resolution 192 of the 86th General Assembly, for the period beginning July 1, 2009 to June 30, 2019. Beginning July 1, 2019 and each July 1 thereafter, the Director shall receive an increase in salary based on a cost of living adjustment as authorized by Senate Joint Resolution 192 of the 86th General Assembly. Notwithstanding any other provision of law, for terms beginning on or after January 16, 2023, the Director shall receive an annual salary of $180,000 or as set by the Governor, whichever is higher. On July 1, 2023, and on each July 1 thereafter, the Director shall receive an increase in salary based on a cost of living adjustment as authorized by Senate Joint Resolution 192 of the 86th General Assembly. The Director, in accord with the Personnel Code, shall employ and direct such personnel, and shall provide for such laboratory and other facilities, as may be necessary to carry out the purposes of this Act. In addition, the Director may by agreement secure such services as he or she may deem necessary from any other department, agency, or unit of the State Government, and may employ and compensate such consultants and technical assistants as may be required. (b) The Agency shall have the duty to collect and disseminate such information, acquire such technical data, and conduct such experiments as may be required to carry out the purposes of this Act, including ascertainment of the quantity and nature of discharges from any contaminant source and data on those sources, and to operate and arrange for the operation of devices for the monitoring of environmental quality. (c) The Agency shall have authority to conduct a program of continuing surveillance and of regular or periodic inspection of actual or potential contaminant or noise sources, of public water supplies, and of refuse disposal sites. (d) In accordance with constitutional limitations, the Agency shall have authority to enter at all reasonable times upon any private or public property for the purpose of: (1) Inspecting and investigating to ascertain | ||
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(2) In accordance with the provisions of this Act, | ||
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(e) The Agency shall have the duty to investigate violations of this Act, any rule or regulation adopted under this Act, any permit or term or condition of a permit, or any Board order; to issue administrative citations as provided in Section 31.1 of this Act; and to take such summary enforcement action as is provided for by Section 34 of this Act. (f) The Agency shall appear before the Board in any hearing upon a petition for variance or time-limited water quality standard, the denial of a permit, or the validity or effect of a rule or regulation of the Board, and shall have the authority to appear before the Board in any hearing under the Act. (g) The Agency shall have the duty to administer, in accord with Title X of this Act, such permit and certification systems as may be established by this Act or by regulations adopted thereunder. The Agency may enter into written delegation agreements with any department, agency, or unit of State or local government under which all or portions of this duty may be delegated for public water supply storage and transport systems, sewage collection and transport systems, air pollution control sources with uncontrolled emissions of 100 tons per year or less and application of algicides to waters of the State. Such delegation agreements will require that the work to be performed thereunder will be in accordance with Agency criteria, subject to Agency review, and shall include such financial and program auditing by the Agency as may be required. (h) The Agency shall have authority to require the submission of complete plans and specifications from any applicant for a permit required by this Act or by regulations thereunder, and to require the submission of such reports regarding actual or potential violations of this Act, any rule or regulation adopted under this Act, any permit or term or condition of a permit, or any Board order, as may be necessary for the purposes of this Act. (i) The Agency shall have authority to make recommendations to the Board for the adoption of regulations under Title VII of the Act. (j) The Agency shall have the duty to represent the State of Illinois in any and all matters pertaining to plans, procedures, or negotiations for interstate compacts or other governmental arrangements relating to environmental protection. (k) The Agency shall have the authority to accept, receive, and administer on behalf of the State any grants, gifts, loans, indirect cost reimbursements, or other funds made available to the State from any source for purposes of this Act or for air or water pollution control, public water supply, solid waste disposal, noise abatement, or other environmental protection activities, surveys, or programs. Any federal funds received by the Agency pursuant to this subsection shall be deposited in a trust fund with the State Treasurer and held and disbursed by him in accordance with Treasurer as Custodian of Funds Act, provided that such monies shall be used only for the purposes for which they are contributed and any balance remaining shall be returned to the contributor. The Agency is authorized to promulgate such regulations and enter into such contracts as it may deem necessary for carrying out the provisions of this subsection. (l) The Agency is hereby designated as water pollution agency for the state for all purposes of the Federal Water Pollution Control Act, as amended; as implementing agency for the State for all purposes of the Safe Drinking Water Act, Public Law 93-523, as now or hereafter amended, except Section 1425 of that Act; as air pollution agency for the state for all purposes of the Clean Air Act of 1970, Public Law 91-604, approved December 31, 1970, as amended; and as solid waste agency for the state for all purposes of the Solid Waste Disposal Act, Public Law 89-272, approved October 20, 1965, and amended by the Resource Recovery Act of 1970, Public Law 91-512, approved October 26, 1970, as amended, and amended by the Resource Conservation and Recovery Act of 1976, (P.L. 94-580) approved October 21, 1976, as amended; as noise control agency for the state for all purposes of the Noise Control Act of 1972, Public Law 92-574, approved October 27, 1972, as amended; and as implementing agency for the State for all purposes of the Comprehensive Environmental Response, Compensation, and Liability Act of 1980 (P.L. 96-510), as amended; and otherwise as pollution control agency for the State pursuant to federal laws integrated with the foregoing laws, for financing purposes or otherwise. The Agency is hereby authorized to take all action necessary or appropriate to secure to the State the benefits of such federal Acts, provided that the Agency shall transmit to the United States without change any standards adopted by the Pollution Control Board pursuant to Section 5(c) of this Act. This subsection (l) of Section 4 shall not be construed to bar or prohibit the Environmental Protection Trust Fund Commission from accepting, receiving, and administering on behalf of the State any grants, gifts, loans or other funds for which the Commission is eligible pursuant to the Environmental Protection Trust Fund Act. The Agency is hereby designated as the State agency for all purposes of administering the requirements of Section 313 of the federal Emergency Planning and Community Right-to-Know Act of 1986. Any municipality, sanitary district, or other political subdivision, or any Agency of the State or interstate Agency, which makes application for loans or grants under such federal Acts shall notify the Agency of such application; the Agency may participate in proceedings under such federal Acts. (m) The Agency shall have authority, consistent with Section 5(c) and other provisions of this Act, and for purposes of Section 303(e) of the Federal Water Pollution Control Act, as now or hereafter amended, to engage in planning processes and activities and to develop plans in cooperation with units of local government, state agencies and officers, and other appropriate persons in connection with the jurisdiction or duties of each such unit, agency, officer or person. Public hearings shall be held on the planning process, at which any person shall be permitted to appear and be heard, pursuant to procedural regulations promulgated by the Agency. (n) In accordance with the powers conferred upon the Agency by Sections 10(g), 13(b), 19, 22(d) and 25 of this Act, the Agency shall have authority to establish and enforce minimum standards for the operation of laboratories relating to analyses and laboratory tests for air pollution, water pollution, noise emissions, contaminant discharges onto land and sanitary, chemical, and mineral quality of water distributed by a public water supply. The Agency may enter into formal working agreements with other departments or agencies of state government under which all or portions of this authority may be delegated to the cooperating department or agency. (o) The Agency shall have the authority to issue certificates of competency to persons and laboratories meeting the minimum standards established by the Agency in accordance with Section 4(n) of this Act and to promulgate and enforce regulations relevant to the issuance and use of such certificates. The Agency may enter into formal working agreements with other departments or agencies of state government under which all or portions of this authority may be delegated to the cooperating department or agency. (p) Except as provided in Section 17.7, the Agency shall have the duty to analyze samples as required from each public water supply to determine compliance with the contaminant levels specified by the Pollution Control Board. The maximum number of samples which the Agency shall be required to analyze for microbiological quality shall be 6 per month, but the Agency may, at its option, analyze a larger number each month for any supply. Results of sample analyses for additional required bacteriological testing, turbidity, residual chlorine and radionuclides are to be provided to the Agency in accordance with Section 19. Owners of water supplies may enter into agreements with the Agency to provide for reduced Agency participation in sample analyses. (q) The Agency shall have the authority to provide notice to any person who may be liable pursuant to Section 22.2(f) of this Act for a release or a substantial threat of a release of a hazardous substance or pesticide. Such notice shall include the identified response action and an opportunity for such person to perform the response action. (r) The Agency may enter into written delegation agreements with any unit of local government under which it may delegate all or portions of its inspecting, investigating and enforcement functions. Such delegation agreements shall require that work performed thereunder be in accordance with Agency criteria and subject to Agency review. Notwithstanding any other provision of law to the contrary, no unit of local government shall be liable for any injury resulting from the exercise of its authority pursuant to such a delegation agreement unless the injury is proximately caused by the willful and wanton negligence of an agent or employee of the unit of local government, and any policy of insurance coverage issued to a unit of local government may provide for the denial of liability and the nonpayment of claims based upon injuries for which the unit of local government is not liable pursuant to this subsection (r). (s) The Agency shall have authority to take whatever preventive or corrective action is necessary or appropriate, including but not limited to expenditure of monies appropriated from the Build Illinois Bond Fund for removal or remedial action, whenever any hazardous substance or pesticide is released or there is a substantial threat of such a release into the environment. The State, the Director, and any State employee shall be indemnified for any damages or injury arising out of or resulting from any action taken under this subsection. The Director of the Agency is authorized to enter into such contracts and agreements as are necessary to carry out the Agency's duties under this subsection. (t) The Agency shall have authority to distribute grants, subject to appropriation by the General Assembly, to units of local government for financing and construction of wastewater facilities in both incorporated and unincorporated areas. With respect to all monies appropriated from the Build Illinois Bond Fund for wastewater facility grants, the Agency shall make distributions in conformity with the rules and regulations established pursuant to the Anti-Pollution Bond Act (now repealed) or the General Obligation Bond Act. (u) Pursuant to the Illinois Administrative Procedure Act, the Agency shall have the authority to adopt such rules as are necessary or appropriate for the Agency to implement Section 31.1 of this Act. (v) (Blank.) (w) Neither the State, nor the Director, nor the Board, nor any State employee shall be liable for any damages or injury arising out of or resulting from any action taken under subsection (s). (x)(1) The Agency shall have authority to distribute grants, subject to appropriation by the General Assembly, to units of local government for financing and construction of public water supply facilities. With respect to all monies appropriated from the Build Illinois Bond Fund for public water supply grants, such grants shall be made in accordance with rules promulgated by the Agency. Such rules shall include a requirement for a local match of 30% of the total project cost for projects funded through such grants. (2) The Agency shall not terminate a grant to a unit of local government for the financing and construction of public water supply facilities unless and until the Agency adopts rules that set forth precise and complete standards, pursuant to Section 5-20 of the Illinois Administrative Procedure Act, for the termination of such grants. The Agency shall not make determinations on whether specific grant conditions are necessary to ensure the integrity of a project or on whether subagreements shall be awarded, with respect to grants for the financing and construction of public water supply facilities, unless and until the Agency adopts rules that set forth precise and complete standards, pursuant to Section 5-20 of the Illinois Administrative Procedure Act, for making such determinations. The Agency shall not issue a stop-work order in relation to such grants unless and until the Agency adopts precise and complete standards, pursuant to Section 5-20 of the Illinois Administrative Procedure Act, for determining whether to issue a stop-work order. (y) The Agency shall have authority to release any person from further responsibility for preventive or corrective action under this Act following successful completion of preventive or corrective action undertaken by such person upon written request by the person. (z) To the extent permitted by any applicable federal law or regulation, for all work performed for State construction projects which are funded in whole or in part by a capital infrastructure bill enacted by the 96th General Assembly by sums appropriated to the Environmental Protection Agency, at least 50% of the total labor hours must be performed by actual residents of the State of Illinois. For purposes of this subsection, "actual residents of the State of Illinois" means persons domiciled in the State of Illinois. The Department of Labor shall promulgate rules providing for the enforcement of this subsection. (aa) The Agency may adopt rules requiring the electronic submission of any information required to be submitted to the Agency pursuant to any State or federal law or regulation or any court or Board order. Any rules adopted under this subsection (aa) must include, but are not limited to, identification of the information to be submitted electronically. (Source: P.A. 102-1071, eff. 6-10-22; 102-1115, eff. 1-9-23; 103-616, eff. 7-1-24.) |
(415 ILCS 5/4.1)
Sec. 4.1.
(Repealed).
(Source: P.A. 88-414. Repealed by P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/5) (from Ch. 111 1/2, par. 1005)
Sec. 5. Pollution Control Board.
(a) There is hereby created an independent board to be known as the
Pollution Control Board.
On and after August 11, 2003 (the effective date of Public Act 93-509), the Board shall consist
of 5 technically qualified members, no more than 3 of whom may be of the same
political party, to be appointed by the Governor with the advice and consent
of the Senate. Members shall have verifiable technical, academic, or actual
experience in the field of pollution control or environmental law and
regulation.
One member shall be appointed for a term ending July 1, 2004,
2 shall be appointed for terms ending July 1, 2005, and 2 shall be appointed
for terms ending July 1, 2006. Thereafter, all members shall hold office for
3 years from the first day of July in the year in which they were appointed,
except in case of an appointment to fill a vacancy. In case of a vacancy in
the office when the Senate is not in session, the Governor may make a temporary
appointment until the next meeting of the Senate, when he or she shall
nominate some person to fill such office; and any person so nominated, who is
confirmed by the Senate, shall hold the office during the remainder of the
term.
Members of the Board shall hold office until their respective successors
have been appointed and qualified. Any member may resign from office, such
resignation to take effect when a successor has been appointed and has
qualified.
Board members shall be paid $37,000 per year or an amount set by the
Compensation Review Board, whichever is greater, and the Chairman shall
be paid $43,000 per year or an amount set by the Compensation Review Board,
whichever is greater. Each member shall devote his or her entire time to the
duties of the office, and shall hold no other office or position of profit, nor
engage in any other business, employment, or vocation. Each member shall be
reimbursed for expenses necessarily incurred and shall make a financial disclosure upon
appointment.
The Board may employ one assistant for each member and 2 assistants for the
Chairman. The Board also may employ and
compensate hearing officers to preside at hearings under this Act, and such
other personnel as may be necessary. Hearing officers shall be attorneys
licensed to practice law in Illinois.
The Board may have an Executive Director; if so, the Executive Director
shall be appointed by the Governor with the advice and consent of the Senate.
The salary and duties of the Executive Director shall be fixed by the Board.
The Governor shall designate one Board member to be Chairman, who
shall serve at the pleasure of the Governor.
The Board shall hold at least one meeting each month and such
additional meetings as may be prescribed by Board rules. In addition,
special meetings may be called by the Chairman or by any 2 Board
members, upon delivery of 48 hours written notice to the office of each
member. All Board meetings shall be open to the public, and public
notice of all meetings shall be given at least 48 hours in
advance of each meeting. In emergency situations in which a majority of
the Board certifies that exigencies of time require the requirements of
public notice and of 24 hour written notice to members may be
dispensed with, and Board members shall receive such notice as is
reasonable under the circumstances.
Three members of the Board shall
constitute a quorum to transact business; and the affirmative vote of 3 members is necessary to adopt any order. The Board shall keep a complete and accurate record of all its
meetings.
(b) The Board shall determine, define and implement the
environmental control standards applicable in the State of Illinois and
may adopt rules and regulations in accordance with Title VII of this Act.
(c) The Board shall have authority to act for the State in regard to
the adoption of standards for submission to the United States under any
federal law respecting environmental protection. Such standards shall be
adopted in accordance with Title VII of the Act and upon adoption shall
be forwarded to the Environmental Protection Agency for submission to
the United States pursuant to subsections (l) and (m) of Section 4 of this
Act. Nothing in this paragraph shall limit the discretion of the Governor to
delegate authority granted to the Governor under any federal law.
(d) The Board shall have authority to conduct proceedings
upon complaints charging violations of this Act, any rule or regulation
adopted under this Act, any permit or term or condition of a permit, or any
Board order; upon
administrative citations; upon petitions for variances, adjusted standards, or time-limited water quality standards;
upon petitions for review of the Agency's final determinations on permit
applications in accordance with Title X of this Act; upon petitions to remove
seals under Section 34 of this Act; and upon other petitions for review of
final determinations which are made pursuant to this Act or Board rule and
which involve a subject which the Board is authorized to regulate. The Board
may also conduct other proceedings as may be provided by this Act or any other
statute or rule.
(e) In connection with any proceeding pursuant to
subsection (b) or (d) of this Section, the Board may
subpoena and compel the attendance of witnesses and the production of evidence
reasonably necessary to resolution of the matter under consideration. The
Board shall issue such subpoenas upon the request of any party to a proceeding
under subsection (d) of this Section or upon its own motion.
(f) The Board may prescribe reasonable fees for permits required
pursuant to this Act. Such fees in the aggregate may not exceed the total
cost to the Agency for its inspection and permit systems. The Board may not
prescribe any permit fees which are different in amount from those established
by this Act.
(Source: P.A. 99-934, eff. 1-27-17; 99-937, eff. 2-24-17; 100-863, eff. 8-14-18.)
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(415 ILCS 5/5.1) (from Ch. 111 1/2, par. 1005.1)
Sec. 5.1.
(Repealed).
(Source: P.A. 89-445, eff. 2-7-96. Repealed by P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/6.1) (from Ch. 111 1/2, par. 1006.1)
Sec. 6.1. The Department of Commerce and Community Affairs (now Department of Commerce and Economic Opportunity) shall conduct studies of the effects of all
State and federal sulfur dioxide regulations and emission standards on the use
of Illinois coal and other fuels, and
shall report the results of such studies to the Governor and the General
Assembly. The reports shall be made by July 1, 1980 and biennially thereafter.
The requirement for reporting to the General Assembly shall be satisfied
by filing copies of the report as required
by Section 3.1 of the General Assembly Organization Act, and filing such additional
copies with the State Government Report Distribution Center for the General
Assembly as is required under paragraph (t) of Section 7 of the State Library
Act.
(Source: P.A. 100-1148, eff. 12-10-18.)
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(415 ILCS 5/6.2) (from Ch. 111 1/2, par. 1006.2)
Sec. 6.2.
(Repealed).
(Source: P.A. 84-1438. Repealed by P.A. 89-445, eff. 2-7-96.)
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(415 ILCS 5/7) (from Ch. 111 1/2, par. 1007)
Sec. 7.
Public inspection; fees.
(a) All files, records, and data of the Agency, the Board, and the
Department shall be open to reasonable public inspection and may be copied
upon payment of reasonable fees to be established where appropriate by the
Agency, the Board, or the Department, except for the following:
(i) information which constitutes a trade secret;
(ii) information privileged against introduction in | ||
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(iii) internal communications of the several agencies;
(iv) information concerning secret manufacturing | ||
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(b) Notwithstanding subsection (a) above, as to information from or
concerning persons subject to NPDES permit requirements:
(i) effluent data may under no circumstances be kept | ||
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(ii) the Agency, the Board, and the Department may | ||
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(c) Notwithstanding any other provision of this Title or any other law
to the contrary, all emission data reported to or otherwise obtained by
the Agency, the Board or the Department in connection with any examination,
inspection or proceeding under this Act shall be available to the public
to the extent required by the federal Clean Air Act, as amended.
(d) Notwithstanding subsection (a) above, the quantity and identity of
substances being placed or to be placed in landfills or hazardous waste
treatment, storage or disposal facilities, and the name of the generator
of such substances may under no circumstances be kept confidential.
(e) Notwithstanding any other provisions of this Title, or any other law
to the contrary, any information accorded confidential treatment may be
disclosed or transmitted to other officers, employees or authorized
representatives of this State or of the United States concerned with or for
the purposes of carrying out this Act or federal environmental statutes and
regulations; provided, however, that such information shall be identified
as confidential by the Agency, the Board, or the Department, as the case
may be. Any confidential information disclosed or transmitted under this
provision shall be used for the purposes stated herein.
(f) Except as provided in this Act neither the
Agency, the Board, nor the Department shall charge any fee for the
performance of its respective duties under this Act.
(g) All files, records and data of the Agency, the Board and the
Department shall be made available to the Department of Public Health
pursuant to the Illinois Health and Hazardous Substances Registry Act.
Expenses incurred in the copying and transmittal of files, records and data
requested pursuant to this subsection (g) shall be the responsibility of
the Department of Public Health.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/7.1) (from Ch. 111 1/2, par. 1007.1)
Sec. 7.1.
(a) All articles representing a trade secret reported to or
otherwise obtained by the Agency, the Board or the Department in connection
with any examination, inspection or proceeding under this Act, shall be
considered confidential and shall not be disclosed, except that such
articles may be disclosed confidentially to other officers or employees
concerned with carrying out this Act or when relevant to any proceeding
under this Act. In any such proceeding, the Agency, the Board, the
Department or the court shall issue such orders as may be appropriate,
including the impoundment of files or portions of files, to protect the
confidentiality of trade secrets.
(b) The Board shall adopt regulations under Title VII of this Act which
prescribe: (i) procedures for determining whether articles represent a
trade secret; and (ii) procedures to protect the confidentiality of such
articles. All such regulations shall be considered substantive regulations
for purposes of Section 28 of this Act. (c) As used in this Section:
(1) "article" means any object, material, device or substance, or whole
or partial copy thereof, including any writing, record, document,
recording, drawing, sample, specimen, prototype, model, photograph,
culture, microorganism, blueprint or map;
(2) "representing" means describing, depicting, containing,
constituting, reflecting or recording; and
(3) "copy" means any facsimile, replica, photograph or other reproduction
of an article, and any note, drawing or sketch made of or from an article.
(Source: P.A. 82-592.)
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(415 ILCS 5/7.2) (from Ch. 111 1/2, par. 1007.2)
Sec. 7.2. Identical in substance rulemakings. (a) In the context of a mandate that the Board adopt regulations
to secure federal authorization for a program, regulations that are
"identical in substance" means State regulations which require the same
actions with respect to protection of the environment, by the same group of
affected persons, as would federal regulations if USEPA administered
the subject program in Illinois. After consideration of comments from the
USEPA, the Agency, the Attorney General and the public, the Board shall
adopt the verbatim text of such USEPA regulations as are necessary and
appropriate for authorization of the program. In adopting "identical in
substance" regulations, the only changes that may be made by the Board to
the federal regulations are those changes that are necessary for compliance
with the Illinois Administrative Code, and technical changes that in no way
change the scope or meaning of any portion of the regulations, except as
follows:
(1) The Board shall not adopt the equivalent of USEPA | ||
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(2) The Board shall not adopt rules prescribing | ||
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(3) If a USEPA rule prescribes the contents of a | ||
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(4) Pursuant to subsection (a) of Section 5-75 of the | ||
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(5) If USEPA intends to retain decision-making | ||
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(6) Wherever appropriate, the Board regulations shall | ||
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(7) The Board may correct apparent typographical and | ||
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(b) In adopting regulations that are "identical in substance" with
specified federal regulations under subsection (c) of Section 13, Section
13.3, Section 17.5, subsection (a) or (d) of Section 22.4, subsection
(a) of Section 22.7, or subsection (a) of Section 22.40, subsection (H) of Section 10, or specified
federal determinations under subsection
(e) of Section 9.1, the Board shall complete its rulemaking proceedings
within one year after the adoption of the corresponding federal rule. If
the Board consolidates multiple federal rulemakings into a single Board
rulemaking, the one-year period shall be calculated from the adoption date
of the federal rule first adopted among those consolidated.
After adopting an "identical in substance" rule, if the Board determines
that an amendment is needed to that rule, the Board shall initiate a
rulemaking proceeding to propose such amendment. The amendment shall be
adopted within one year of the initiation of the Board's determination.
Additionally, if the Board, after adopting an "identical in substance" rule,
determines that a technical correction to that rule is needed, the Board
may initiate an application for certification of correction under Section
5-85 of the Illinois Administrative Procedure Act.
The one-year period may be extended by the Board for an additional period
of time if necessary to complete the rulemaking proceeding. In order to
extend the one-year period, the Board must make a finding, based upon the
record in the rulemaking proceeding, that the one-year period is
insufficient for completion of the rulemaking, and such finding shall
specifically state the reasons for the extension. Except as otherwise
provided above, the Board must make the
finding that an extension of time is necessary prior to the expiration of
the initial one-year period, and must also publish a notice of extension in
the Illinois Register as expeditiously as practicable following its
decision, stating the specific reasons for the Board's decision
to extend. The notice of extension need not appear in the Illinois
Register prior to the expiration of the initial one year period and shall
specify a date certain by which the Board anticipates completion of the
rulemaking, except that if a date certain cannot be specified because of a
need to delay adoption pending occurrence of an event beyond the Board's
control, the notice shall specify the event, explain its circumstances, and
contain an estimate of the amount of time needed to complete the rulemaking
after the occurrence of the specified event.
(Source: P.A. 97-945, eff. 8-10-12.)
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(415 ILCS 5/7.3) (from Ch. 111 1/2, par. 1007.3)
Sec. 7.3.
(a) The Board in its discretion may submit the following for
publication in the Illinois Register as it deems appropriate:
(1) a regulatory agenda to solicit comments | ||
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(2) notices of all petitions for individual adjusted | ||
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(3) notices of all public hearings to be held by the | ||
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(4) the results of Board determinations concerning | ||
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(5) restricted status lists, on a quarterly basis; and
(6) any other documents related to the activities of | ||
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(b) The Board shall publish the following in the Illinois Register:
(1) pursuant to Section 5-40 of the Illinois | ||
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(2) pursuant to Sections 5-45 and 5-50 of the | ||
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(3) the results of Board determinations concerning | ||
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(Source: P.A. 88-45.)
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(415 ILCS 5/7.4) (from Ch. 111 1/2, par. 1007.4)
Sec. 7.4.
All moneys received by the Pollution Control Board from the
collection of fees, photo reproduction costs and the sale of
opinions and orders, shall be deposited into the Pollution Control Board
Fund, a special fund which is hereby created in the State Treasury. The
Pollution Control Board may use such funds for activities or
purposes necessary to meet its responsibilities pursuant to the
Environmental Protection Act. The Pollution Control Board shall establish
guidelines governing fee schedules and administration of the Pollution
Control Board Fund.
(Source: P.A. 85-1331.)
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(415 ILCS 5/7.5) (from Ch. 111 1/2, par. 1007.5)
Sec. 7.5. Filing fees. (a) The Board shall collect filing fees
as prescribed in this Act. The fees shall be deposited
in the Pollution Control Board Fund.
The filing fees shall be as follows:
Petition for site-specific regulation, $75.
Petition for variance, $75.
Petition for review of permit, $75.
Petition to contest local government decision | ||
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Petition for an adjusted standard, pursuant to | ||
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Petition for a time-limited water quality standard, | ||
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(b) A person who has filed a petition for a variance from a water quality standard and paid the filing fee set forth in subsection (a) of this Section for that petition and whose variance petition is thereafter converted into a petition for a time-limited water quality standard under Section 38.5 of this Act shall not be required to pay a separate filing fee upon the conversion of the variance petition into a petition for a time-limited water quality standard. (Source: P.A. 99-937, eff. 2-24-17.)
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(415 ILCS 5/7.6) Sec. 7.6. Electronic posting of permit information. Beginning January 1, 2014, the Agency shall maintain the following information on its website: (1) a description of each type of permit it issues | ||
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(2) a description of the process for obtaining each | ||
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(3) no later than February 1 of each year, a report | ||
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(A) the number of permit applications received by | ||
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(B) the number of permits issued by the Agency; | ||
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(C) the average number of days from the date the | ||
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(Source: P.A. 98-237, eff. 1-1-14.) |
(415 ILCS 5/Tit. II heading) TITLE II:
AIR POLLUTION
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(415 ILCS 5/8) (from Ch. 111 1/2, par. 1008)
Sec. 8.
The General Assembly finds that pollution of the air of this State
constitutes a menace to public health and welfare, creates public
nuisances, adds to cleaning costs, accelerates the deterioration of
materials, adversely affects agriculture, business, industry, recreation,
climate, and visibility, depresses property values, and offends the senses.
It is the purpose of this Title to restore, maintain, and enhance the
purity of the air of this State in order to protect health, welfare,
property, and the quality of life and to assure that no air contaminants
are discharged into the atmosphere without being given the degree of
treatment or control necessary to prevent pollution.
(Source: P.A. 76-2429.)
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(415 ILCS 5/9) (from Ch. 111 1/2, par. 1009) (Text of Section before amendment by P.A. 103-794 ) Sec. 9. Acts prohibited. No person shall: (a) Cause or threaten or allow the discharge or emission of any
contaminant into the environment in any State so as to cause or tend to
cause air pollution in Illinois, either alone or in combination with
contaminants from other sources, or so as to violate regulations or
standards adopted by the Board under this Act. (b) Construct, install, or operate any equipment, facility, vehicle,
vessel, or aircraft capable of causing or contributing to air pollution or
designed to prevent air pollution, of any type designated by Board
regulations, (1) without a permit granted by the Agency unless otherwise exempt by this Act or Board regulations or (2) in violation of any
conditions imposed by such permit. (c) Cause or allow the open burning of refuse, conduct any salvage
operation by open burning, or cause or allow the burning of any refuse in
any chamber not specifically designed for the purpose and approved by the
Agency pursuant to regulations adopted by the Board under this Act; except
that the Board may adopt regulations permitting open burning of refuse in
certain cases upon a finding that no harm will result from such burning, or
that any alternative method of disposing of such refuse would create a
safety hazard so extreme as to justify the pollution that would result from
such burning. (d) Sell, offer, or use any fuel or other article in any areas in which
the Board may by regulation forbid its sale, offer, or use for reasons of
air-pollution control. (e) Use, cause or allow the spraying of loose asbestos for the purpose
of fireproofing or insulating any building or building material or other
constructions, or otherwise use asbestos in such unconfined manner as to
permit asbestos fibers or particles to pollute the air. (f) Commencing July 1, 1985, sell any used oil for burning or incineration
in any incinerator, boiler, furnace, burner or other equipment unless such
oil meets standards based on virgin fuel oil or re-refined oil, as defined
in ASTM D-396 or specifications under VV-F-815C promulgated pursuant to the
federal Energy Policy and Conservation Act, and meets the manufacturer's
and current NFDA code standards for which such incinerator, boiler,
furnace, burner or other equipment was approved, except that this
prohibition does not apply to a sale to a permitted used oil re-refining or
reprocessing facility or sale to a facility permitted by the Agency to burn
or incinerate such oil. Nothing herein shall limit the effect of any section of this Title with
respect to any form of asbestos, or the spraying of any form of asbestos,
or limit the power of the Board under this Title to adopt additional and
further regulations with respect to any form of asbestos, or the spraying
of any form of asbestos. This Section shall not limit the burning of landscape waste upon the
premises where it is produced or at sites provided and supervised by any
unit of local government, except within any county having a population of
more than 400,000. Nothing in this Section shall prohibit the burning of
landscape waste for agricultural purposes, habitat management (including but
not limited to forest and prairie reclamation), or firefighter training. For
the purposes of this Act, the burning of landscape waste by production
nurseries shall be considered to be burning for agricultural purposes. Any grain elevator located outside of a major population area, as defined
in Section 211.3610 of Title 35 of the Illinois Administrative Code, shall be
exempt from the requirements of Section 212.462 of Title 35 of the
Illinois Administrative Code provided that the elevator: (1) does not violate
the prohibitions of subsection (a) of this Section or have a certified
investigation, as defined in Section 211.970 of Title 35 of the Illinois
Administrative Code, on file with the Agency and (2) is not required to obtain
a Clean Air Act Permit Program permit pursuant to Section 39.5.
Notwithstanding the above exemption, new stationary source performance
standards for grain elevators,
established pursuant to Section 9.1 of this Act and Section 111 of the federal
Clean Air Act, shall continue to apply to grain elevators. (Source: P.A. 97-95, eff. 7-12-11.) (Text of Section after amendment by P.A. 103-794 ) Sec. 9. Acts prohibited. No person shall: (a) Cause or threaten or allow the discharge or emission of any contaminant into the environment in any State so as to cause or tend to cause air pollution in Illinois, either alone or in combination with contaminants from other sources, or so as to violate regulations or standards adopted by the Board under this Act. (b) Construct, install, or operate any equipment, facility, vehicle, vessel, or aircraft capable of causing or contributing to air pollution or designed to prevent air pollution, of any type designated by Board regulations, (1) without a permit granted by the Agency unless otherwise exempt by this Act or Board regulations or (2) in violation of any conditions imposed by such permit. (c) Cause or allow the open burning of refuse, conduct any salvage operation by open burning, or cause or allow the burning of any refuse in any chamber not specifically designed for the purpose and approved by the Agency pursuant to regulations adopted by the Board under this Act; except that the Board may adopt regulations permitting open burning of refuse in certain cases upon a finding that no harm will result from such burning, or that any alternative method of disposing of such refuse would create a safety hazard so extreme as to justify the pollution that would result from such burning. (d) Sell, offer, or use any fuel or other article in any areas in which the Board may by regulation forbid its sale, offer, or use for reasons of air-pollution control. (e) Use, cause or allow the spraying of loose asbestos for the purpose of fireproofing or insulating any building or building material or other constructions, or otherwise use asbestos in such unconfined manner as to permit asbestos fibers or particles to pollute the air. (f) Commencing July 1, 1985, sell any used oil for burning or incineration in any incinerator, boiler, furnace, burner or other equipment unless such oil meets standards based on virgin fuel oil or re-refined oil, as defined in ASTM D-396 or specifications under VV-F-815C promulgated pursuant to the federal Energy Policy and Conservation Act, and meets the manufacturer's and current NFDA code standards for which such incinerator, boiler, furnace, burner or other equipment was approved, except that this prohibition does not apply to a sale to a permitted used oil re-refining or reprocessing facility or sale to a facility permitted by the Agency to burn or incinerate such oil. Nothing herein shall limit the effect of any section of this Title with respect to any form of asbestos, or the spraying of any form of asbestos, or limit the power of the Board under this Title to adopt additional and further regulations with respect to any form of asbestos, or the spraying of any form of asbestos. This Section shall not limit the burning of landscape waste upon the premises where it is produced or at sites provided and supervised by any unit of local government, except within any county having a population of more than 400,000. Nothing in this Section shall prohibit the burning of landscape waste for agricultural purposes, habitat management (including but not limited to forest and prairie reclamation), or firefighter training. For the purposes of this Act, the burning of landscape waste by production nurseries shall be considered to be burning for agricultural purposes. Nothing in this Section shall prohibit the burning of landscape waste by a person engaged in the business of tree removal, at the person's registered place of business, provided that the burning activity (i) is located in a county with a population of 50,000 or less, (ii) is more than 1,000 feet from the nearest residence, (iii) is not located in an area with a PM2.5 design value greater than 9 micrograms per cubic meter, (iv) is not located in an area of environmental justice concern, as determined by the Agency's EJ Start tool, and (v) is conducted in accordance with all federal, State, and local laws and ordinances. Any grain elevator located outside of a major population area, as defined in Section 211.3610 of Title 35 of the Illinois Administrative Code, shall be exempt from the requirements of Section 212.462 of Title 35 of the Illinois Administrative Code provided that the elevator: (1) does not violate the prohibitions of subsection (a) of this Section or have a certified investigation, as defined in Section 211.970 of Title 35 of the Illinois Administrative Code, on file with the Agency and (2) is not required to obtain a Clean Air Act Permit Program permit pursuant to Section 39.5. Notwithstanding the above exemption, new stationary source performance standards for grain elevators, established pursuant to Section 9.1 of this Act and Section 111 of the federal Clean Air Act, shall continue to apply to grain elevators. (Source: P.A. 103-794, eff. 1-1-25.) |
(415 ILCS 5/9.1) (from Ch. 111 1/2, par. 1009.1)
Sec. 9.1.
(a) The General Assembly finds that the federal Clean Air
Act, as amended, and regulations adopted pursuant thereto establish complex
and detailed provisions for State-federal cooperation in the field of air
pollution control, provide for a Prevention of Significant Deterioration
program to regulate the issuance of preconstruction permits to insure that
economic growth will occur in a manner consistent with the preservation
of existing clean air resources, and also provide for plan requirements for
nonattainment areas to regulate the construction, modification and operation
of sources of air pollution to insure that economic growth will occur in
a manner consistent with the goal of achieving the national ambient air
quality standards, and that the General Assembly cannot conveniently or
advantageously set forth in this Act all the requirements of such
federal Act or all regulations which may be established thereunder.
It is the purpose of this Section to avoid the existence of duplicative,
overlapping or conflicting State and federal regulatory systems.
(b) The provisions of Section 111 of the federal Clean Air Act (42
USC 7411), as amended, relating to standards of performance for new
stationary sources, and Section 112 of the federal Clean Air Act (42 USC
7412), as amended, relating to the establishment of national emission
standards for hazardous air pollutants are applicable in this State and are
enforceable under this Act. Any such enforcement shall be stayed
consistent with any stay granted in any federal judicial action to review
such standards. Enforcement shall be consistent with the results of any
such judicial review.
(c) The Board shall adopt regulations establishing permit programs for PSD and NA NSR permits meeting
the respective requirements of Sections 165 and 173 of the Clean Air Act (42 USC 7475
and 42 USC 7503) as amended. The Agency may adopt procedures for the
administration of such programs.
The regulations adopted by the Board to establish a PSD permit program shall incorporate by reference, pursuant to subsection (a) of Section 5-75 of the Illinois Administrative Procedure Act, the provisions of 40 CFR 52.21, except for the following subparts: (a)(1) Plan disapproval, (q) Public participation, (s) Environmental impact statements, (t) Disputed permits or redesignations and (u) Delegation of authority; the Board may adopt more stringent or additional provisions to the extent it deems appropriate. To the extent that the provisions of 40 CFR 52.21 provide for the Administrator to make various determinations and to take certain actions, these provisions shall be modified to indicate the Agency if appropriate. Nothing in this subsection shall be construed to limit the right of any person to submit a proposal to the Board or the authority of the Board to adopt elements of a PSD permit program that are more stringent than those contained in 40 CFR 52.21, pursuant to the rulemaking requirements of Title VII of this Act and Section 5-35 of the Illinois Administrative Procedure Act. (d) No person shall:
(1) violate any provisions of Sections 111, 112, 165 | ||
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(2) construct, install, modify or operate any | ||
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(e) The Board shall exempt from regulation under the State Implementation
Plan for ozone the volatile organic compounds which have been determined
by the U.S. Environmental Protection Agency to be exempt from regulation
under state implementation plans for ozone due to negligible photochemical
reactivity. In accordance with subsection (b) of Section 7.2, the Board
shall adopt regulations identical in substance to the U.S. Environmental
Protection Agency exemptions or deletion of exemptions published in policy
statements on the control of volatile organic compounds in the Federal
Register by amending the list of exemptions to the Board's definition of
volatile organic material found at 35 Ill. Adm. Code Part 211. The
provisions and requirements of Title VII of this Act shall not apply to
regulations adopted under this subsection. Section 5-35 of the Illinois
Administrative Procedure Act, relating to procedures for rulemaking, does not
apply to regulations adopted under this subsection. However, the Board shall
provide for notice, a hearing if required by the U.S. Environmental Protection
Agency, and public comment before adopted rules are filed with the Secretary of
State. The Board may consolidate into a single rulemaking under this subsection
all such federal policy statements published in the Federal Register within a
period of time not to exceed 6 months.
(f) (Blank).
(Source: P.A. 98-284, eff. 8-9-13; 99-463, eff. 1-1-16 .)
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(415 ILCS 5/9.2) (from Ch. 111 1/2, par. 1009.2)
Sec. 9.2.
Sulfur dioxide emission standards.
(a) (Blank.)
(b) In granting any alternative emission standard or variance relating
to sulfur dioxide emissions from a coal-burning stationary source, the
Board may require the use of Illinois coal as a condition of such
alternative standard or variance, provided that the Board determines that
Illinois coal of the proper quality is available and competitive in price;
such determination shall include consideration of the cost of pollution
control equipment and the economic impact on the Illinois coal mining industry.
(Source: P.A. 92-574, eff. 9-26-02.)
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(415 ILCS 5/9.3) (from Ch. 111 1/2, par. 1009.3)
Sec. 9.3.
Alternative control strategies.
(a) The General Assembly finds that control strategies, including
emission limitations, alternative but environmentally equivalent to those
required by Board regulations or the terms of this Act, can assure equivalent
protection of the environment and that the use of such alternative control
strategies can encourage technological innovation, reduce the likelihood
of shutdown of older sources, and can result in decreased costs of compliance
and increased availability of resources for use in productive capital
investments.
(b) (Blank.)
(c) On or before December 31, 1982, the Board shall adopt regulations
establishing a permit program pursuant to Section 39.1 in accordance with
Title VII of this Act.
(d) Board rules pursuant to this Section 9.3 shall set forth reasonable
requirements for issuance of an alternative control strategy permit, provided
that the Board may not impose any condition or requirement more stringent
than required by the Clean Air Act or for compliance with this Act or other
Board regulations thereunder. The Agency shall promptly adopt any necessary
procedures for the administration of such permit programs. The burden of
establishing that any procedure, condition or requirement imposed by the
Agency in or for the issuance of a permit is more stringent than required
by applicable law shall be upon the permit applicant.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/9.4) (from Ch. 111 1/2, par. 1009.4)
Sec. 9.4. Municipal waste incineration emission standards.
(a) The General Assembly finds:
(1) That air pollution from municipal waste | ||
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(2) That a combustion and flue-gas control system, | ||
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(b) It is the purpose of this Section to insure that emissions from new
municipal waste incineration facilities which burn a total of 25 tons or
more of municipal waste per day are adequately controlled.
Such facilities shall be subject to emissions limits and operating
standards based upon the application of Best Available Control Technology,
as determined by the Agency, for emissions of the following categories of
pollutants:
(1) particulate matter, sulfur dioxide and nitrogen | ||
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(2) acid gases;
(3) heavy metals; and
(4) organic materials.
(c) The Agency shall issue permits, pursuant to Section 39, to new
municipal waste incineration facilities only if the Agency finds that such
facilities are designed, constructed and operated so as to comply with the
requirements prescribed by this Section.
Prior to adoption of Board regulations under subsection (d) of this
Section the Agency may issue permits for the construction of new municipal
waste incineration facilities. The Agency determination of Best Available
Control Technology shall be based upon consideration of the specific
pollutants named in subsection (d), and emissions of particulate matter,
sulfur dioxide and nitrogen oxides.
Nothing in this Section shall limit
the applicability of any other Sections of this Act, or of other standards
or regulations adopted by the Board, to municipal waste incineration
facilities. In issuing such permits, the Agency may prescribe those
conditions necessary to assure continuing compliance with the emission
limits and operating standards determined pursuant to subsection (b); such
conditions may include the monitoring and reporting of emissions.
(d) Within one year after July 1, 1986, the Board shall adopt regulations pursuant to Title
VII of this Act, which define the terms in items (2), (3) and (4) of subsection
(b) of this Section which are to be used by the Agency in making its
determination pursuant to this Section. The provisions of Section 27(b) of
this Act shall not apply to this rulemaking.
Such regulations shall be written so that the categories of pollutants
include, but need not be limited to, the following specific pollutants:
(1) hydrogen chloride in the definition of acid gases;
(2) arsenic, cadmium, mercury, chromium, nickel and | ||
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(3) polychlorinated dibenzo-p-dioxins, | ||
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(e) For the purposes of this Section, the term "Best Available Control
Technology" means an emission limitation
(including a visible emission standard) based on the maximum degree of
pollutant reduction which the Agency, on a case-by-case basis, taking into
account energy, environmental and economic impacts, determines is
achievable through the application of production processes or available
methods, systems and techniques, including fuel cleaning or treatment or
innovative fuel combustion techniques. If the Agency determines that
technological or economic limitations on the application of measurement
methodology to a particular class of sources would make the imposition of
an emission standard not feasible, it may instead prescribe a design,
equipment, work practice or operational standard, or combination thereof,
to require the application of best available control technology. Such standard
shall, to the degree possible, set forth the emission reduction achievable by
implementation of such design, equipment, work practice or operation and
shall provide for compliance by means which achieve equivalent results.
(f) "Municipal waste incineration" means the burning of municipal waste
or fuel derived therefrom in a combustion apparatus designed to burn
municipal waste that may produce electricity or steam as a by-product. A
"new municipal waste incinerator" is an incinerator initially permitted for
development or construction after January 1, 1986.
(g) The provisions of this Section shall not apply to the following: (1) industrial incineration facilities that burn | ||
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(2) industrial incineration facilities that burn | ||
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(Source: P.A. 101-125, eff. 7-26-19.)
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(415 ILCS 5/9.5) (from Ch. 111 1/2, par. 1009.5)
Sec. 9.5.
(a) The General Assembly finds that:
(1) The public health and welfare may be endangered by the release of
toxic contaminants into the air which are carcinogenic, teratogenic, mutagenic or
otherwise injurious to humans or the environment.
(2) Existing federal programs may not be adequate to protect the public and
the environment from low-level, chronic exposure to toxic air contaminants.
(b) It is the purpose of this Section to establish a State program to
identify and adopt regulations for toxic air contaminants in Illinois.
(c) The Board, pursuant to Title VII, shall
promulgate a list of toxic air contaminants. The list published under
this subsection shall include any air contaminant which may cause or
significantly contribute to an increase in mortality or an increase in
serious irreversible or incapacitating reversible illness, or may pose a
significant threat to human health or the environment. The Agency
shall propose to the
Board for adoption a list which meets the requirement of this subsection.
The provisions of subsection (b) of Section 27 of this Act shall not
apply to rulemakings under this subsection (c).
(d) The Board, pursuant to Title VII,
shall adopt regulations establishing a program to control toxic
contaminants released into the air in a manner that protects the public health and the
environment. The Agency shall propose
regulations to the Board for adoption which meet the requirements of this subsection.
(e) The requirements of this Section shall not apply to the following:
(1) retail dry cleaning operations;
(2) retail and noncommercial storage and handling of motor fuels;
(3) combustion processes using only commercial fuel, including internal
combustion engines;
(4) incidental or minor sources including laboratory-scale operations,
and such other sources or categories of sources which are determined by the
Board to be of minor significance.
(Source: P.A. 85-752.)
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(415 ILCS 5/9.6) (from Ch. 111 1/2, par. 1009.6)
Sec. 9.6. Air pollution operating permit fee.
(a) For any site for which an air pollution operating permit is required,
other than a site permitted solely as a retail liquid dispensing facility
that has air pollution control equipment or an agrichemical facility with an
endorsed permit pursuant to Section 39.4, the owner or operator of that site
shall pay an initial annual fee to the Agency within 30 days of receipt of the
permit and an annual fee each year thereafter for as long as a permit is in
effect. The owner or operator of a portable emission unit, as defined in 35
Ill. Adm. Code 201.170, may change the site of any unit previously permitted
without paying an additional fee under this Section for each site change,
provided that no further change to the permit is otherwise necessary or
requested.
(b) The following fee amounts
shall apply:
(1) The fee for a site permitted to emit less than 25 | ||
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(2) The fee for a site permitted to emit at least 25 | ||
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(3) The fee for a site permitted to emit at least 100 | ||
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(c) The owner or operator of any site subject to subsection (b) of this Section that becomes subject to Section 39.5
of this Act shall continue to pay the fee set forth in this Section until the
site becomes subject to the CAAPP fee set forth within subsection 18 of Section
39.5 of this Act. If an owner or operator has paid a fee under this Section during
the 12-month period following the effective date of the CAAPP for that
site, the amount
of that fee shall be deducted from the amount due under subsection 18 of Section 39.5 of
this Act.
(d) Only one air pollution site fee may be collected from any
site, even if such site receives more than one air pollution control permit.
(e) The Agency shall establish procedures for the collection of air
pollution site fees. Air pollution site fees may be paid annually, or in
advance for the number of years for which the permit is issued, at the option
of the owner or operator. Payment in advance does not exempt the owner or
operator from paying any increase in the fee that may occur during the term of
the permit; the owner or operator must pay the amount of the increase upon
and from the effective date of the increase.
(f) The Agency may deny an application for the issuance, transfer, or
renewal of an air pollution operating permit if any air pollution site fee
owed by the applicant has not been paid within 60 days of the due date, unless
the applicant, at the time of application, pays to the Agency in advance the
air pollution site fee for the site that is the subject of the operating
permit, plus any other air pollution site fees then owed by the applicant.
The denial of an air pollution operating permit for failure to pay an air
pollution site fee shall be subject to review by the Board pursuant to the
provisions of subsection (a) of Section 40 of this Act.
(g) If the Agency determines that an owner or operator of a site was
required, but failed, to timely obtain an air pollution operating permit,
and as a result avoided the payment of permit fees, the Agency may collect the
avoided permit fees with or without pursuing enforcement under Section 31 of
this Act. The avoided permit fees shall be calculated as double the amount
that would have been owed had a permit been timely obtained. Fees collected
pursuant to this subsection (g) shall be deposited into the Environmental
Protection Permit and Inspection Fund.
(h) If the Agency determines that an owner or operator of a site was
required, but failed, to timely obtain an air pollution operating permit and
as a result avoided the payment of permit fees, an enforcement action may be
brought under Section 31 of this Act. In addition to any other relief that
may be obtained as part of this action, the Agency may seek to recover the
avoided permit fees. The avoided permit fees shall be calculated as double
the amount that would have been owed had a permit been timely obtained. Fees
collected pursuant to this subsection (h) shall be deposited into the
Environmental Protection Permit and Inspection Fund.
(i) If a permittee subject to a fee under this
Section fails to pay the fee within 90 days of its due date, or makes the
fee payment from an account with insufficient funds to cover the amount of the
fee payment, the Agency shall notify the permittee of the failure to pay the
fee. If the permittee fails to pay the fee within 60 days after such
notification, the Agency may, by written notice, immediately revoke the air
pollution operating permit. Failure of the Agency to notify the permittee of
failure to pay a fee due under this Section, or the payment of the fee from
an account with insufficient funds to cover the amount of the fee payment, does
not excuse or alter the duty of the permittee to comply with the provisions of
this Section.
(Source: P.A. 97-95, eff. 7-12-11.)
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(415 ILCS 5/9.7) (from Ch. 111 1/2, par. 1009.7)
Sec. 9.7.
CFC's.
The General Assembly hereby finds that the
manufacture
and use of chlorofluorocarbons (CFCs) present a serious threat to the
environment, and declares it to be the public policy of this State to
discourage the unnecessary use of CFCs, to encourage producers of CFCs to
replace them with alternative substances that have a less deleterious
impact on the environment, and to promote the use of equipment to recover
and recycle existing CFCs.
(Source: P.A. 90-372, eff. 7-1-98.)
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(415 ILCS 5/9.8)
Sec. 9.8.
Emissions reductions market system.
(a) The General Assembly finds:
(1) That achieving compliance with the ozone | ||
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(2) That economic incentives and market-based | ||
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(3) That development and operation of an emissions | ||
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(b) The Agency shall design an emissions market system that
will assist the State in meeting applicable post-1996 provisions
under the CAAA of 1990, provide maximum flexibility for
designated sources that reduce emissions, and that takes into
account the findings of the national ozone transport assessment,
existing air quality conditions, and resultant emissions levels
necessary to achieve or maintain attainment.
(c) The Agency may develop proposed rules for a market-based emissions
reduction, banking, and trading system that will enable stationary sources to
implement cost-effective, compliance
options. In developing such a market system, the Agency may take
into consideration a suitable ozone control season and related
reconciliation period, seasonal allotments of actual emissions and adjustments
thereto,
phased participation by size of source, suitable emissions and
compliance monitoring provisions, an annual allotment set-aside
for market assurance, and suitable means for the market system
to be provided for in an appropriate State implementation plan.
The proposal shall be filed with the Board and
shall be subject to the rulemaking provisions of Sections 27 and
28 of this Act. The rules adopted by the Board shall
include provisions that:
(1) Assure that compliance with the required | ||
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(2) Assure that emissions reductions under the market | ||
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(3) Assure that sources subject to the program will | ||
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(4) Assure that credit is given or exclusion is | ||
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(5) Assure that unusual or abnormal operational | ||
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(6) Assure that relative economic impact and | ||
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(7) Assure that the feasibility of measuring and | ||
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(d) Notwithstanding the other provisions of this Act,
any source or other authorized person that
participates in an emissions market system shall be eligible
to exchange allotment trading units with other sources
provided that established rules are followed.
(e) There is hereby created within the State Treasury an interest-bearing
special fund to be known as the Alternative Compliance Market Account Fund,
which shall be used and administered by the Agency for the following public
purposes:
(1) To accept and retain funds from persons who | ||
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(2) To purchase services, equipment, or commodities | ||
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(Source: P.A. 89-173, eff. 7-19-95; 89-465, eff. 6-13-96.)
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(415 ILCS 5/9.9)
Sec. 9.9. Nitrogen oxides trading system.
(a) The General Assembly finds:
(1) That USEPA has issued a Final Rule published in | ||
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(2) That reducing emissions of NOx in the State helps | ||
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(3) That emissions trading is a cost-effective means | ||
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(b) The Agency shall propose and the Board shall adopt
regulations to implement an interstate NOx trading program (hereinafter
referred to as the "NOx Trading Program") as provided for in 40 CFR
Part 96, including
incorporation by reference of appropriate provisions of 40 CFR Part 96 and
regulations to address 40 CFR Section 96.4(b), Section 96.55(c), Subpart E, and
Subpart I. In addition, the Agency shall propose and the Board shall adopt
regulations to implement NOx emission reduction programs for cement kilns and
stationary
internal combustion engines.
(c) Allocations of NOx allowances to large electric generating units
("EGUs") and large non-electric generating units ("non-EGUs"), as defined by 40
CFR Part 96.4(a), shall not exceed the State's trading budget for those source
categories to be included in
the State Implementation Plan for NOx.
(d) In adopting regulations to implement the NOx Trading Program, the Board
shall:
(1) assure that the economic impact and technical | ||
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(2) provide that emission units, as defined in | ||
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(3) provide for voluntary reductions of NOx emissions | ||
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(4) provide that the Agency allocate to non-EGUs | ||
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(5) provide that the Agency shall set aside annually | ||
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(6) provide that those EGUs that commence commercial | ||
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(d-5) The Agency may sell NOx allowances to sources in Illinois that are
subject
to 35 Ill. Adm. Code 217, either Subpart U or W, as follows:
(1) any unearned Early Reduction Credits set aside | ||
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(2) any remaining Early Reduction Credits allocated | ||
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(3) any allowances under 35 Ill. Adm. Code 217, | ||
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(4) any allowances requested from the New Source Set | ||
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(d-10) The selling price for ERC allowances shall be 70% of the market
price index for 2005 NOx allowances, determined by the Agency as follows:
(1) using the mean of 2 or more published market | ||
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(2) if there are not 2 published market price indexes | ||
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(e) The Agency may adopt procedural rules, as necessary, to implement the
regulations promulgated by the Board pursuant to subsections (b) and (d) and
to implement subsections (d-5), (d-10), (i), and (j) of
this Section.
(f) Notwithstanding any provisions in subparts T, U, and W of Section 217
of Title 35 of the Illinois Administrative Code to the contrary, compliance
with the regulations promulgated by the Board pursuant to subsections (b) and
(d) of this Section is required by May 31, 2004.
(g) To the extent that a court of competent jurisdiction finds a provision
of 40 CFR Part 96 invalid, the corresponding Illinois provision shall
be stayed until such provision of 40 CFR Part 96 is found to be valid or is
re-promulgated. To the extent that USEPA or any court of competent
jurisdiction stays the applicability of any provision of the NOx SIP Call to
any person or circumstance relating to Illinois, during the period of that
stay, the effectiveness of the corresponding Illinois provision shall be
stayed. To the extent that the invalidity of the particular requirement or
application does not affect
other provisions or applications of the NOx SIP Call pursuant to 40 CFR 51.121
or the NOx trading program pursuant to 40 CFR Part 96 or 40 CFR Part 97, this
Section, and rules or regulations promulgated hereunder, will be given
effect without the invalid provisions or applications.
(h) Notwithstanding any other provision of this Act, any source or other
authorized person that participates in the NOx Trading Program shall be
eligible to exchange NOx allowances with other sources in accordance with
this Section and with regulations promulgated by the Board or the Agency.
(i) (Blank).
(j) Moneys generated from the sale of early reduction credits
shall be deposited into the Clean Air Act Permit Fund created pursuant to
Section 39.5(18)(d) of this Act, and the proceeds
shall be used and administered by the Agency to finance the costs associated
with the Clean Air Act Permit Program.
(Source: P.A. 102-1071, eff. 6-10-22.)
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(415 ILCS 5/9.10)
Sec. 9.10.
Fossil fuel-fired electric generating plants.
(a) The General Assembly finds and declares that:
(1) fossil fuel-fired electric generating plants are | ||
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(2) existing state and federal policies, that allow | ||
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(3) fossil fuel-fired electric generating plants are, | ||
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(4) scientific uncertainty regarding the formation | ||
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(5) the development of energy policies to promote a | ||
| ||
(6) the Governor's formation of an Energy Cabinet and | ||
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(7) Illinois coal is an abundant resource and an | ||
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(8) renewable forms of energy should be promoted as | ||
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(9) efforts on the state and federal levels are | ||
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(10) these issues, taken together, call for a | ||
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(b) Taking into account the findings and declarations of the General
Assembly contained in subsection (a) of this Section, the Agency shall, before
September 30, 2004, but not before September 30, 2003, issue to the House and
Senate Committees on Environment and Energy findings that address the potential
need for the control or reduction of emissions from fossil fuel-fired electric
generating plants, including the following provisions:
(1) reduction of nitrogen oxide emissions, as | ||
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(2) reduction of sulfur dioxide emissions, as | ||
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(3) incentives to promote renewable sources of energy | ||
| ||
(4) reduction of mercury as appropriate, | ||
| ||
(5) establishment of a banking system, consistent | ||
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The Agency shall consider the impact on the public health, considering also
energy supply, reliability and costs, the role of renewable forms of energy,
and developments in federal law and regulations that may affect any state
actions, prior to making final decisions in Illinois.
(c) Nothing in this Section is intended to or should be interpreted in a
manner to limit or restrict the authority of the Illinois Environmental
Protection Agency to propose, or the Illinois Pollution Control Board to
adopt, any regulations applicable or that may become applicable to the
facilities covered by this Section that are required by federal law.
(d) The Agency may file proposed rules with the Board to effectuate its
findings provided to the Senate Committee on Environment and Energy and the
House Committee on Environment and Energy in accordance with subsection (b) of
this Section. Any such proposal shall not be submitted sooner than 90 days
after the issuance of the findings provided for in subsection (b) of this
Section. The Board shall take action on any such proposal within one year of
the Agency's filing of the proposed rules.
(e) This Section shall apply only to those electrical generating units
that are subject to the provisions of Subpart W of Part 217 of Title 35 of
the Illinois Administrative Code, as promulgated by the Illinois Pollution
Control Board on December 21, 2000.
(Source: P.A. 92-12, eff. 7-1-01; 92-279, eff. 8-7-01.)
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(415 ILCS 5/9.11)
Sec. 9.11.
Great Lakes Areas of Concern; mercury.
(a) The General Assembly finds that:
(1) The government of the United States of America | ||
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(2) The government of the United States of America | ||
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(3) The government of the United States of America | ||
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(4) Waukegan Harbor in Illinois was designated an | ||
| ||
(5) The government of the United States of America | ||
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(6) Mercury has been identified as a persistent | ||
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(7) The thermal treatment of sludge creates mercury | ||
| ||
(b) The Agency shall not issue any permit to develop, construct, or operate,
within one mile of any portion of Lake Michigan that has been designated an
Area of Concern under the Great Lakes Water Quality Agreement as of the
effective date of this Section, any site or facility for the thermal treatment
of sludge, unless the applicant submits to the Agency proof that the site or
facility has received local siting approval from the governing body of the
municipality in which the site or facility is proposed to be located (or from
the county board if located in an unincorporated area), in accordance with
Section 39.2 of this Act. For the purposes of this Section, "thermal
treatment" includes, without limitation, drying, incinerating, and any other
processing that subjects the sludge to an elevated temperature.
(Source: P.A. 93-202, eff. 7-14-03.)
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(415 ILCS 5/9.12)
Sec. 9.12. Construction permit fees for air pollution sources.
(a) An applicant for a new or revised air pollution construction permit
shall pay a fee, as established in this Section, to the Agency at the time that
he or she submits the application for a construction permit. Except as set
forth below, the fee for each activity or category listed in this Section is
separate and is cumulative with any other applicable fee listed in this
Section.
(b) The fee amounts in this subsection (b) apply to construction permit
applications relating to (i) a source subject to Section 39.5 of this Act
(the Clean Air Act Permit Program); (ii) a source that, upon issuance of the
requested construction permit, will become a major source subject to Section
39.5; or (iii) a source that has or will require a federally enforceable
State operating permit limiting its potential to emit.
(1) Base fees for each construction permit | ||
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(A) If the construction permit application | ||
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(B) If the construction permit application | ||
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(2) Supplemental fees for each construction permit | ||
| ||
(A) If, based on the construction permit | ||
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(B) If the construction permit application | ||
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(C) If the construction permit application | ||
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(D) If the construction permit application is for | ||
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(E) If the construction permit application is for | ||
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(F) If the construction permit application is for | ||
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(G) If the construction permit application is for | ||
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(H) (Blank).
(I) If the construction permit application review | ||
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(J) (Blank).
(3) If a public hearing is held regarding the | ||
| ||
(c) The fee amounts in this subsection (c) apply to construction permit
applications relating to a source that, upon issuance of the construction
permit, will not (i) be or become subject to Section 39.5 of this Act (the
Clean Air Act Permit Program) or (ii) have or require a federally enforceable
state operating permit limiting its potential to emit.
(1) Base fees for each construction permit | ||
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(A) For a construction permit application | ||
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(B) For a construction permit application | ||
| ||
(C) For a construction permit application | ||
| ||
(D) For a construction permit application | ||
| ||
(2) Supplemental fees for each construction permit | ||
| ||
(A) If the source is a new source, i.e., does not | ||
| ||
(B) If the construction permit application | ||
| ||
(3) If a public hearing is held regarding the | ||
| ||
(d) If no other fee is applicable under this Section, a construction permit
application addressing one or more of the following shall be subject to a
filing fee of $500:
(1) A construction permit application to add or | ||
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(2) A construction permit application to conduct a | ||
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(3) A construction permit application for a land | ||
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(4) (Blank).
(5) A construction permit application to revise an | ||
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(6) A construction permit application that provides | ||
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(e) No fee shall be assessed for a request to correct an issued permit
that involves only an Agency error, if the request is received within the
deadline for a permit appeal to the Pollution Control Board.
(f) The applicant for a new or revised air pollution construction permit
shall submit to the Agency, with the construction permit application, both a
certification of the fee that he or she estimates to be due under this
Section and the fee itself.
(g) Notwithstanding the requirements of subsection (a) of Section 39 of this Act, the
application for an air pollution construction permit shall not be deemed to
be filed with the Agency until the Agency receives the initial air pollution
construction permit application fee and the certified estimate of the fee
required by this Section. Unless the Agency has received the initial air
pollution construction permit application fee and the certified estimate of the
fee required by this Section, the Agency is not required to review or process
the application.
(h) If the Agency determines at any time that a construction permit
application is subject to an additional fee under this Section that the
applicant has not submitted, the Agency shall notify the applicant in writing
of the amount due under this Section. The applicant shall have 60 days to
remit the assessed fee to the Agency.
If the proper fee established under this Section is not submitted within 60
days after the request for further remittance:
(1) If the construction permit has not yet been | ||
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(2) If the construction permit has been issued, the | ||
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The denial or revocation of a construction permit does not excuse the
applicant from the duty of paying the fees required under this Section.
(i) The Agency may deny the issuance of a pending air pollution
construction permit or the subsequent operating permit if the applicant
has not paid the required fees by the date required for issuance of the
permit. The denial or revocation of a permit for failure to pay a
construction permit fee is subject to review by the Board pursuant to the
provisions of subsection (a) of Section 40 of this Act.
(j) If the owner or operator undertakes construction without obtaining
an air pollution construction permit, the fee under this Section is still
required. Payment of the required fee does not preclude the Agency or
the Attorney General or other authorized persons from pursuing enforcement
against the applicant for failure to have an air pollution construction permit
prior to commencing construction.
(k) If an air pollution construction permittee makes a fee payment under
this Section from an account with insufficient funds to cover the amount of
the fee payment, the Agency shall notify the permittee of the failure to pay
the fee. If the permittee fails to pay the fee within 60 days after such
notification, the Agency may, by written notice, immediately revoke the air
pollution construction permit. Failure of the Agency to notify the permittee
of the permittee's failure to make payment does not excuse or alter the duty
of the permittee to comply with the provisions of this Section.
(l) The Agency may establish procedures for the collection of air
pollution construction permit fees.
(m) Fees collected pursuant to this Section shall be deposited into the
Environmental Protection Permit and Inspection Fund.
(Source: P.A. 99-463, eff. 1-1-16 .)
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(415 ILCS 5/9.12a) Sec. 9.12a. Notice. When a permit for a new facility is required by this Title II, the Agency shall provide notice: (i) by certified or registered mail or, upon request, electronically, to the State Senator and State Representative of the district where the facility will be located; and (ii) to the public via a posting on its website in a format that is searchable by zip code. Within 6 months after the effective date of this amendatory Act of the 101st General Assembly, the Agency shall adopt rules to implement this Section.
(Source: P.A. 101-422, eff. 1-1-20 .) |
(415 ILCS 5/9.13)
Sec. 9.13.
Asbestos fees.
(a) For any site for which the owner or operator must file an original
10-day notice of intent to renovate or demolish pursuant to 40 CFR 61.145(b)
(part of the federal asbestos National Emission Standard for Hazardous Air
Pollutants or NESHAP), the owner or operator shall pay to the Agency with the
filing of each 10-day Notice a fee of $150.
(b) If demolition or renovation of a site has commenced without proper
filing of the 10-day Notice, the fee is double the amount otherwise due.
This doubling of the fee is in addition to any other penalties under this
Act, the federal NESHAP, or otherwise, and does not preclude the Agency, the
Attorney General, or other authorized persons from pursuing an enforcement
action against the owner or operator for failure to file a 10-day Notice prior
to commencing demolition or renovation activities.
(c) In the event that an owner or operator makes a fee payment under this
Section from an account with insufficient funds to cover the amount of the fee
payment, the 10-day Notice shall be deemed improperly filed. The Agency shall
so notify the owner or operator within 60 days of receiving the notice of
insufficient funds. Failure of the Agency to so notify the owner or operator
does not excuse or alter the duty of the owner or operator to comply with the
requirements of this Section.
(d) Where asbestos remediation or demolition activities have not been
conducted in accordance with the asbestos NESHAP, in addition to the fees
imposed by this Section, the Agency may also collect its actual costs incurred
for asbestos-related activities at the site, including without limitation costs
of sampling, sample analysis, remediation plan review, and activity oversight
for demolition or renovation.
(e) Fees and cost recovery amounts collected under this Section shall be
deposited into the Environmental Protection Permit and Inspection Fund.
(Source: P.A. 93-32, eff. 7-1-03.)
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(415 ILCS 5/9.14) Sec. 9.14. Registration of smaller sources. (a) After the effective date of rules implementing this Section, the owner or operator of an eligible source shall annually register with the Agency instead of complying with the requirement to obtain an air pollution construction or operating permit under this Act. The criteria for determining an eligible source shall include the following: (1) the source must not be required to obtain a | ||
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(2) the USEPA has not otherwise determined that a | ||
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(3) the source emits less than an actual 5 tons per | ||
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(4) the source emits less than an actual 0.5 tons per | ||
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(5) the source emits less than an actual 0.05 tons | ||
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(6) the source emits less than an actual 0.05 tons | ||
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(7) the source does not have an emission unit subject | ||
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(b) Complete registration of an eligible source, including payment of the required fee as specified in subsection (c) of this Section, shall provide the owner or operator of the eligible source with an exemption from the requirement to obtain an air pollution construction or operating permit under this Act. The registration of smaller sources program does not relieve an owner or operator from the obligation to comply with any other applicable rules or regulations. (c) The owner or operator of an eligible source shall pay an annual registration fee of $235 to the Agency at the time of registration submittal and each year thereafter. Fees collected under this Section shall be deposited into the Environmental Protection Permit and Inspection Fund. (d) The Agency shall propose rules to implement the registration of smaller sources program. Within 120 days after the Agency proposes those rules, the Board shall adopt rules to implement the registration of smaller sources program. These rules may be subsequently amended from time to time pursuant to a proposal filed with the Board by any person, and any necessary amendments shall be adopted by the Board within 120 days after proposal. Such amendments may provide for the alteration or revision of the initial criteria included in subsection (a) of this Section.
(Source: P.A. 97-95, eff. 7-12-11; 97-1081, eff. 8-24-12.) |
(415 ILCS 5/9.15) Sec. 9.15. Greenhouse gases. (a) An air pollution construction permit shall not be required due to emissions of greenhouse gases if the equipment, site, or source is not subject to regulation, as defined by 40 CFR 52.21, as now or hereafter amended, for greenhouse gases or is otherwise not addressed in this Section or by the Board in regulations for greenhouse gases. These exemptions do not relieve an owner or operator from the obligation to comply with other applicable rules or regulations. (b) An air pollution operating permit shall not be required due to emissions of greenhouse gases if the equipment, site, or source is not subject to regulation, as defined by Section 39.5 of this Act, for greenhouse gases or is otherwise not addressed in this Section or by the Board in regulations for greenhouse gases. These exemptions do not relieve an owner or operator from the obligation to comply with other applicable rules or regulations. (c) (Blank). (d) (Blank). (e) (Blank).
(f) As used in this Section: "Carbon dioxide emission" means the plant annual CO 2 total output emission as measured by the United States Environmental Protection Agency in its Emissions & Generation Resource Integrated Database (eGrid), or its successor. "Carbon dioxide equivalent emissions" or "CO 2 e" means the sum total of the mass amount of emissions in tons per year, calculated by multiplying the mass amount of each of the 6 greenhouse gases specified in Section 3.207, in tons per year, by its associated global warming potential as set forth in 40 CFR 98, subpart A, table A-1 or its successor, and then adding them all together. "Cogeneration" or "combined heat and power" refers to any system that, either simultaneously or sequentially, produces electricity and useful thermal energy from a single fuel source. "Copollutants" refers to the 6 criteria pollutants that have been identified by the United States Environmental Protection Agency pursuant to the Clean Air Act. "Electric generating unit" or "EGU" means a fossil fuel-fired stationary boiler, combustion turbine, or combined cycle system that serves a generator that has a nameplate capacity greater than 25 MWe and produces electricity for sale. "Environmental justice community" means the definition of that term based on existing methodologies and findings, used and as may be updated by the Illinois Power Agency and its program administrator in the Illinois Solar for All Program. "Equity investment eligible community" or "eligible community" means the geographic areas throughout Illinois that would most benefit from equitable investments by the State designed to combat discrimination and foster sustainable economic growth. Specifically, eligible community means the following areas: (1) areas where residents have been historically | ||
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(2) areas where residents have been historically | ||
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"Equity investment eligible person" or "eligible person" means the persons who would most benefit from equitable investments by the State designed to combat discrimination and foster sustainable economic growth. Specifically, eligible person means the following people: (1) persons whose primary residence is in an equity | ||
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(2) persons whose primary residence is in a | ||
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(3) persons who are graduates of or currently | ||
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(4) persons who were formerly incarcerated. "Existing emissions" means: (1) for CO 2 e, the total average tons-per-year of CO 2 e | ||
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(2) for any copollutant, the total average | ||
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"Green hydrogen" means a power plant technology in which an EGU creates electric power exclusively from electrolytic hydrogen, in a manner that produces zero carbon and copollutant emissions, using hydrogen fuel that is electrolyzed using a 100% renewable zero carbon emission energy source. "Large greenhouse gas-emitting unit" or "large GHG-emitting unit" means a unit that is an electric generating unit or other fossil fuel-fired unit that itself has a nameplate capacity or
serves a generator that has a nameplate capacity greater than 25 MWe and that produces electricity, including, but not limited to, coal-fired, coal-derived, oil-fired, natural gas-fired, and cogeneration units. "NO x emission rate" means the plant annual NO x total output emission rate as measured by the United States Environmental Protection Agency in its Emissions & Generation Resource Integrated Database (eGrid), or its successor, in the most recent year for which data is available. "Public greenhouse gas-emitting units" or "public GHG-emitting unit" means large greenhouse gas-emitting units, including EGUs, that are wholly owned, directly or indirectly, by one or more municipalities, municipal corporations, joint municipal electric power agencies, electric cooperatives, or other governmental or nonprofit entities, whether organized and created under the laws of Illinois or another state. "SO 2 emission rate" means the "plant annual SO 2 total output emission rate" as measured by the United States Environmental Protection Agency in its Emissions & Generation Resource Integrated Database (eGrid), or its successor, in the most recent year for which data is available. (g) All EGUs and large greenhouse gas-emitting units that use coal or oil as a fuel and are not public GHG-emitting units shall permanently reduce all CO 2 e and copollutant emissions to zero no later than January 1, 2030. (h) All EGUs and large greenhouse gas-emitting units that
use coal as a fuel and are public GHG-emitting units shall
permanently reduce CO 2 e emissions to
zero no later than December 31, 2045. Any source or plant with such units must also reduce their CO 2 e emissions by 45% from existing emissions by no later than January 1, 2035. If the emissions reduction requirement is not achieved by December 31, 2035, the plant shall retire one or more units or otherwise reduce its CO 2 e emissions by 45% from existing emissions by June 30, 2038. (i) All EGUs and large greenhouse gas-emitting units that use gas as a fuel and are not public GHG-emitting units shall permanently reduce all CO 2 e and copollutant emissions to zero, including through unit retirement or the use of 100% green hydrogen or other similar technology that is commercially proven to achieve zero carbon emissions, according to the following: (1) No later than January 1, 2030: all EGUs and large | ||
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(2) No later than January 1, 2040: all EGUs and large | ||
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(3) No later than January 1, 2035: all EGUs and large | ||
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(4) No later than January 1, 2040: All remaining EGUs | ||
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(5) No later than January 1, 2045: all remaining EGUs | ||
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(j) All EGUs and large greenhouse gas-emitting units that use gas as a fuel and are public GHG-emitting units shall permanently reduce all CO 2 e and copollutant emissions to zero, including through unit retirement or the use of 100% green hydrogen or other similar technology that is commercially proven to achieve zero carbon emissions by January 1, 2045. (k) All EGUs and large greenhouse gas-emitting units that utilize combined heat and power or cogeneration technology shall permanently reduce all CO 2 e and copollutant emissions to zero, including through unit retirement or the use of 100% green hydrogen or other similar technology that is commercially proven to achieve zero carbon emissions by January 1, 2045. (k-5) No EGU or large greenhouse gas-emitting unit that uses gas as a fuel and is not a public GHG-emitting unit may emit, in any 12-month period, CO 2 e or copollutants in excess of that unit's existing emissions for those pollutants. (l) Notwithstanding subsections (g) through (k-5), large GHG-emitting units including EGUs may temporarily continue emitting CO 2 e and copollutants after any applicable deadline specified in any of subsections (g) through (k-5) if it has been determined, as described in paragraphs (1) and (2) of this subsection, that ongoing operation of the EGU is necessary to maintain power grid supply and reliability or ongoing operation of large GHG-emitting unit that is not an EGU is necessary to serve as an emergency backup to operations. Up to and including the occurrence of an emission reduction deadline under subsection (i), all EGUs and large GHG-emitting units must comply with the following terms: (1) if an EGU or large GHG-emitting unit that is a | ||
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(2) if any EGU or large GHG-emitting unit that is a | ||
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(3) any large GHG-emitting unit that is not a | ||
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(m) No variance, adjusted standard, or other regulatory relief otherwise available in this Act may be granted to the emissions reduction and elimination obligations in this Section. (n) By June 30 of each year, beginning in 2025, the Agency shall prepare and publish on its website a report setting forth the actual greenhouse gas emissions from individual units and the aggregate statewide emissions from all units for the prior year. (o) Every 5 years beginning in 2025, the Environmental Protection Agency, Illinois Power Agency, and Illinois Commerce Commission shall jointly prepare, and release publicly, a report to the General Assembly that examines the State's current progress toward its renewable energy resource development goals, the status of CO 2 e and copollutant emissions reductions, the current status and progress toward developing and implementing green hydrogen technologies, the current and projected status of electric resource adequacy and reliability throughout the State for the period beginning 5 years ahead, and proposed solutions for any findings. The Environmental Protection Agency, Illinois Power Agency, and Illinois Commerce Commission shall consult PJM Interconnection, LLC and Midcontinent Independent System Operator, Inc., or their respective successor organizations regarding forecasted resource adequacy and reliability needs, anticipated new generation interconnection, new transmission development or upgrades, and any announced large GHG-emitting unit closure dates and include this information in the report. The report shall be released publicly by no later than December 15 of the year it is prepared. If the Environmental Protection Agency, Illinois Power Agency, and Illinois Commerce Commission jointly conclude in the report that the data from the regional grid operators, the pace of renewable energy development, the pace of development of energy storage and demand response utilization, transmission capacity, and the CO 2 e and copollutant emissions reductions required by subsection (i) or (k-5) reasonably demonstrate that a resource adequacy shortfall will occur, including whether there will be sufficient in-state capacity to meet the zonal requirements of MISO Zone 4 or the PJM ComEd Zone, per the requirements of the regional transmission organizations, or that the regional transmission operators determine that a reliability violation will occur during the time frame the study is evaluating, then the Illinois Power Agency, in conjunction with the Environmental Protection Agency shall develop a plan to reduce or delay CO 2 e and copollutant emissions reductions requirements only to the extent and for the duration necessary to meet the resource adequacy and reliability needs of the State, including allowing any plants whose emission reduction deadline has been identified in the plan as creating a reliability concern to continue operating, including operating with reduced emissions or as emergency backup where appropriate. The plan shall also consider the use of renewable energy, energy storage, demand response, transmission development, or other strategies to resolve the identified resource adequacy shortfall or reliability violation. (1) In developing the plan, the Environmental | ||
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(2) Within 60 days after the filing of the revised | ||
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(3) The Illinois Commerce Commission shall only | ||
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(4) If the resource adequacy or reliability | ||
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(Source: P.A. 102-662, eff. 9-15-21; 102-1031, eff. 5-27-22.) |
(415 ILCS 5/9.16) Sec. 9.16. Control of ethylene oxide sterilization sources. (a) As used in this Section: "Ethylene oxide sterilization operations" means the process of using ethylene oxide at an ethylene oxide sterilization source to make one or more items free from microorganisms, pathogens, or both microorganisms and pathogens. "Ethylene oxide sterilization source" means any stationary source with ethylene oxide usage that would subject it to the emissions standards in 40 CFR 63.362. "Ethylene oxide sterilization source" does not include beehive fumigators, research or laboratory facilities, hospitals, doctors' offices, clinics, or other stationary sources for which the primary purpose is to provide medical services to humans or animals. "Exhaust point" means any point through which ethylene oxide-laden air exits an ethylene oxide sterilization source. "Stationary source" has the meaning set forth in subsection 1 of Section 39.5. (b) Beginning 180 days after June 21, 2019 (the effective date of Public Act 101-22), no person shall conduct ethylene oxide sterilization operations, unless the ethylene oxide sterilization source captures, and demonstrates that it captures, 100% of all ethylene oxide emissions and reduces ethylene oxide emissions to the atmosphere from each exhaust point at the ethylene oxide sterilization source by at least 99.9% or to 0.2 parts per million. (1) Within 180 days after June 21, 2019 (the | ||
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(A) At least 30 days prior to the scheduled | ||
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(i) the name of the independent third party | ||
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(ii) the methodologies to be used; (iii) the conditions under which emissions | ||
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(iv) the specific determinations of emissions | ||
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(v) any changes to the test method or methods | ||
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(B) The owner or operator of the ethylene oxide | ||
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(C) Upon Agency approval of the test protocol, | ||
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(D) The owner or operator of the ethylene oxide | ||
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(i) a summary of results; (ii) a description of test method or methods, | ||
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(iii) a detailed description of test | ||
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(iv) data and calculations, including copies | ||
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(E) Within 30 days of receipt, the Agency shall | ||
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(2) The owner or operator of the ethylene oxide | ||
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(3) At least 30 days before conducting the annual | ||
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(4) If the owner or operator of an ethylene oxide | ||
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(5) The Agency shall accept, accept with conditions, | ||
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(c) If any emissions test conducted more than 180 days after June 21, 2019 (the effective date of Public Act 101-22) fails to demonstrate that ethylene oxide emissions to the atmosphere from each exhaust point at the ethylene oxide sterilization source have been reduced by at least 99.9% or to 0.2 parts per million, the owner or operator of the ethylene oxide sterilization source shall immediately cease ethylene oxide sterilization operations and notify the Agency within 24 hours of becoming aware of the failed emissions test. Within 60 days after the date of the test, the owner or operator of the ethylene oxide sterilization source shall: (1) complete an analysis to determine the root cause | ||
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(2) take any actions necessary to address that root | ||
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(3) submit a report to the Agency describing the | ||
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(4) upon approval by the Agency of the report | ||
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(d) Beginning 180 days after June 21, 2019 (the effective date of Public Act 101-22) this amendatory Act of the 101st General Assembly for any existing source or prior to any ethylene oxide sterilization operation for any source that first becomes subject to regulation after June 21, 2019 (the effective date of Public Act 101-22) as an ethylene oxide sterilization source under this Section, no person shall conduct ethylene oxide sterilization operations unless the owner or operator of the ethylene oxide sterilization source submits for review and approval by the Agency a plan describing how the owner or operator will continuously collect emissions information at the ethylene oxide sterilization source. This plan must also specify locations at the ethylene oxide sterilization source from which emissions will be collected and identify equipment used for collection and analysis, including the individual system components. (1) The owner or operator of the ethylene oxide | ||
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(2) Upon the Agency's approval of the plan, the owner | ||
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(e) Beginning 180 days after June 21, 2019 (the effective date of Public Act 101-22) for any existing source or prior to any ethylene oxide sterilization operation for any source that first becomes subject to regulation after June 21, 2019 (the effective date of Public Act 101-22) as an ethylene oxide sterilization source under this Section, no person shall conduct ethylene oxide sterilization operations unless the owner or operator of the ethylene oxide sterilization source submits for review and approval by the Agency an Ambient Air Monitoring Plan. (1) The Ambient Air Monitoring Plan shall include, at | ||
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(A) Detailed plans to collect and analyze air | ||
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(B) A schedule for implementation. (C) The name of the independent third party | ||
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(2) The owner or operator of the ethylene oxide | ||
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(3) Upon the Agency's approval of the plan, the owner | ||
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(f) Beginning 180 days after June 21, 2019 (the effective date of Public Act 101-22) for any existing source or prior to any ethylene oxide sterilization operation for any source that first becomes subject to regulation after June 21, 2019 (the effective date of Public Act 101-22) as an ethylene oxide sterilization source under this Section, no person shall conduct ethylene oxide sterilization operations unless the owner or operator of the ethylene oxide sterilization source has performed dispersion modeling and the Agency approves such modeling. (1) Dispersion modeling must: (A) be conducted using accepted United States | ||
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(B) use emissions and stack parameter data from | ||
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(C) use a receptor grid that extends to at least | ||
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(2) The owner or operator of the ethylene oxide | ||
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(g) A facility permitted to emit ethylene oxide that has been subject to a seal order under Section 34 is prohibited from using ethylene oxide for sterilization or fumigation purposes, unless (i) the facility can provide a certification to the Agency by the supplier of a product to be sterilized or fumigated that ethylene oxide sterilization or fumigation is the only available method to completely sterilize or fumigate the product and (ii) the Agency has certified that the facility's emission control system uses technology that produces the greatest reduction in ethylene oxide emissions currently available. The certification shall be made by a company representative with knowledge of the sterilization requirements of the product. The certification requirements of this Section shall apply to any group of products packaged together and sterilized as a single product if sterilization or fumigation is the only available method to completely sterilize or fumigate more than half of the individual products contained in the package. A facility is not subject to the requirements of this subsection if the supporting findings of the seal order under Section 34 are found to be without merit by a court of competent jurisdiction. (h) If an entity, or any parent or subsidiary of an entity, that owns or operates a facility permitted by the Agency to emit ethylene oxide acquires by purchase, license, or any other method of acquisition any intellectual property right in a sterilization technology that does not involve the use of ethylene oxide, or by purchase, merger, or any other method of acquisition of any entity that holds an intellectual property right in a sterilization technology that does not involve the use of ethylene oxide, that entity, parent, or subsidiary shall notify the Agency of the acquisition within 30 days of acquiring it. If that entity, parent, or subsidiary has not used the sterilization technology within 3 years of its acquisition, the entity shall notify the Agency within 30 days of the 3-year period elapsing. An entity, or any parent or subsidiary of an entity, that owns or operates a facility permitted by the Agency to emit ethylene oxide that has any intellectual property right in any sterilization technology that does not involve the use of ethylene oxide shall notify the Agency of any offers that it makes to license or otherwise allow the technology to be used by third parties within 30 days of making the offer. An entity, or any parent or subsidiary of an entity, that owns or operates a facility permitted by the Agency to emit ethylene oxide shall provide the Agency with a list of all U.S. patent registrations for sterilization technology that the entity, parent, or subsidiary has any property right in. The list shall include the following: (1) The patent number assigned by the United States | ||
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(2) The date each patent was filed. (3) The names and addresses of all owners or | ||
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(4) The names and addresses of all inventors of each | ||
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(i) If a CAAPP permit applicant applies to use ethylene oxide as a sterilant or fumigant at a facility not in existence prior to January 1, 2020, the Agency shall issue a CAAPP permit for emission of ethylene oxide only if: (1) the nearest school or park is at least 10 miles | ||
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(2) the nearest school or park is at least 15 miles | ||
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(3) within 7 days after the application for a CAAPP | ||
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(A) the State Representative for the | ||
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(B) the State Senator for the legislative | ||
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(C) the members of the county board for the | ||
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(D) the local municipal board members and | ||
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(j) The owner or operator of an ethylene oxide sterilization source must apply for and obtain a construction permit from the Agency for any modifications made to the source to comply with the requirements of Public Act 101-22, including, but not limited to, installation of a permanent total enclosure, modification of airflow to create negative pressure within the source, and addition of one or more control devices. Additionally, the owner or operator of the ethylene oxide sterilization source must apply for and obtain from the Agency a modification of the source's operating permit to incorporate such modifications made to the source. Both the construction permit and operating permit must include a limit on ethylene oxide usage at the source. (k) Nothing in this Section shall be interpreted to excuse the ethylene oxide sterilization source from complying with any applicable local requirements. (l) The owner or operator of an ethylene oxide sterilization source must notify the Agency within 5 days after discovering any deviation from any of the requirements in this Section or deviations from any applicable requirements concerning ethylene oxide that are set forth in this Act, United States Environmental Protection Agency rules, or Board rules. As soon as practicable, but no later than 5 business days, after the Agency receives such notification, the Agency must post a notice on its website and notify the members of the General Assembly from the Legislative and Representative Districts in which the source in question is located, the county board members of the county in which the source in question is located, the corporate authorities of the municipality in which the source in question is located, and the Illinois Department of Public Health. (m) The Agency must conduct at least one unannounced inspection of all ethylene oxide sterilization sources subject to this Section per year. Nothing in this Section shall limit the Agency's authority under other provisions of this Act to conduct inspections of ethylene oxide sterilization sources. (n) The Agency shall conduct air testing to determine the ambient levels of ethylene oxide throughout the State. The Agency shall, within 180 days after June 21, 2019 (the effective date of Public Act 101-22), submit rules for ambient air testing of ethylene oxide to the Board.
(Source: P.A. 101-22, eff. 6-21-19; 102-558, eff. 8-20-21.) |
(415 ILCS 5/9.17) Sec. 9.17. Nonnegligible ethylene oxide emissions sources. (a) In this Section, "nonnegligible ethylene oxide emissions source" means an ethylene oxide emissions source permitted by the Agency that currently emits more than 150 pounds of ethylene oxide as reported on the source's 2017 Toxic Release Inventory and is located in a county with a population of at least 700,000 based on 2010 census data. "Nonnegligible ethylene oxide emissions source" does not include facilities that are ethylene oxide sterilization sources or hospitals that are licensed under the Hospital Licensing Act or operated under the University of Illinois Hospital Act. (b) Beginning 180 days after June 21, 2019 (the effective date of Public Act 101-23), no nonnegligible ethylene oxide emissions source shall conduct activities that cause ethylene oxide emissions unless the owner or operator of the nonnegligible ethylene oxide emissions source submits for review and approval of the Agency a plan describing how the owner or operator will continuously collect emissions information. The plan must specify locations at the nonnegligible ethylene oxide emissions source from which emissions will be collected and identify equipment used for collection and analysis, including the individual system components. (1) The owner or operator of the nonnegligible | ||
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(2) Upon the Agency's approval of the plan the owner | ||
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(c) Beginning 180 days after June 21, 2019 (the effective date of Public Act 101-23), no nonnegligible ethylene oxide emissions source shall conduct activities that cause ethylene oxide emissions unless the owner or operator of the nonnegligible ethylene oxide emissions source has performed dispersion modeling and the Agency approves the dispersion modeling. (1) Dispersion modeling must: (A) be conducted using accepted United States | ||
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(B) use emissions and stack parameter data from | ||
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(C) use a receptor grid that extends to at least | ||
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(2) The owner or operator of the nonnegligible | ||
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(d) Beginning 180 days after June 21, 2019 (the effective date of Public Act 101-23), no nonnegligible ethylene oxide emissions source shall conduct activities that cause ethylene oxide emissions unless the owner or operator of the nonnegligible ethylene oxide emissions source obtains a permit consistent with the requirements in this Section from the Agency to conduct activities that may result in the emission of ethylene oxide. (e) The Agency in issuing the applicable permits to a nonnegligible ethylene oxide emissions source shall: (1) impose a site-specific annual cap on ethylene | ||
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(2) include permit conditions granting the Agency the | ||
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(Source: P.A. 101-23, eff. 6-21-19; 102-558, eff. 8-20-21.) |
(415 ILCS 5/9.18) (Section scheduled to be repealed on January 1, 2025) Sec. 9.18. Commission on market-based carbon pricing solutions. (a) In the United States, state-based market policies to reduce greenhouse gases have been in operation since 2009. More than a quarter of the US population lives in a state with carbon pricing and these states represent one-third of the United States' gross domestic product. Market-based policies have proved effective at reducing emissions in states across the United States, and around the world. Additionally, well-designed carbon pricing incentivizes energy efficiency and drives investments in low-carbon solutions and technologies, such as renewables, hydrogen, biofuels, and carbon capture, use, and storage. Illinois must assess available suites of programs and policies to support a rapid, economy-wide decarbonization and spur the development of a clean energy economy in the State, while maintaining Illinois' competitive advantage. (b) The Governor is hereby authorized to create a carbon pricing commission to study the short-term and long-term impacts of joining, implementing, or designing a sector-based, statewide, or regional carbon pricing program. The commission shall analyze and compare the relative cost of, and greenhouse gas reductions from, various carbon pricing programs available to Illinois and the Midwest, including, but not limited to: the Regional Greenhouse Gas Initiative (RGGI), the Transportation and Climate Initiative (TCI), California's cap-and-trade program, California's low carbon fuel standard, Washington State's cap-and-invest program, the Oregon Clean Fuels Program, and other relevant market-based programs. At the conclusion of the study, no later than December 31, 2022, the commission shall issue a public report containing its findings. (c) This Section is repealed on January 1, 2025. (Source: P.A. 102-662, eff. 9-15-21; 103-563, eff. 11-17-23.) |
(415 ILCS 5/9.19) Sec. 9.19. Refrigerants. A refrigerant designated as approved in accordance with 42 U.S.C. 7671k shall be allowed for use in the State as long as any equipment containing such refrigerant is listed and installed in accordance with safety standards and use conditions imposed pursuant to such designation. No unit of local government or municipality shall be restricted from authorizing or prohibiting alternative refrigerants otherwise authorized for use in the State.
(Source: P.A. 103-230, eff. 6-30-23.) |
(415 ILCS 5/9.20) (This Section may contain text from a Public Act with a delayed effective date ) Sec. 9.20. Fleet Electrification Incentive Program. (a) In this Section: "Eligible electric vehicle" means an electric truck or electric school bus categorized by the United States Environmental Protection Agency Emissions Classifications, using gross vehicle weight ratings, as a Class 2b, 3, 4, 5, 6, 7, or 8 vehicle, with or without a properly ventilated, conventionally powered heater. "Eligible purchaser" means a person who the Agency determines: (1) is the purchaser of an eligible electric vehicle | ||
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(2) is domiciled in this State; (3) in the case of a purchaser who is the lessee of | ||
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(4) has demonstrated, to the satisfaction of the | ||
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"Equity investment eligible community" has the meaning given in the Energy Transition Act. "Program" means the Fleet Electrification Incentive Program established under this Section. "Purchaser" means a fleet owner, operator, or provider that will operate or manage the vehicle for a minimum of 5 years after receipt of the vehicle, whether through lease or direct purchase. (b) To promote the use of eligible electric vehicles and to increase access to federal funding programs, the Agency shall establish, by rule, a Fleet Electrification Incentive Program through which it provides eligible purchasers a grant of up to the following base amounts for the purchase of an eligible electric vehicle: (1) $7,500 for a Class 2b vehicle; (2) $45,000 for a Class 3 vehicle; (3) $60,000 for a Class 4 or Class 5 vehicle; (4) $85,000 for a Class 6 or Class 7 vehicle; and (5) $120,000 for a Class 8 vehicle. In addition, the Agency shall offer increased grant incentives of an additional 65% of the base amount for the purchase of a school bus that will serve a public school district. (c) The Agency shall award grants under the Program to eligible purchasers on a competitive basis according to the availability of funding. The Agency shall use a points-based quantitative evaluation to be determined by the Agency by rule. The Agency shall award additional points to an application from an eligible purchaser whose eligible electric vehicles are to be domiciled in an equity investment eligible community. The Agency shall also award additional points to an eligible purchaser who has negotiated and entered into a collective bargaining agreement at the time of application for the grant. (d) A grant provided under the Program is limited to a maximum award of 80% of the purchase price per eligible electric vehicle. Multiple eligible electric vehicles may be included in each grant under the Program. An eligible purchaser may be awarded multiple grants under the Program; however, the Agency shall have the authority to implement, by rule, a limit on the number of grants awarded to each purchaser. (e) An eligible purchaser shall enter into a grant agreement with the Agency upon notification from the Agency that the eligible purchaser's application has been approved. Grants under this Section shall be provided by the Agency with the submittal of a paid invoice for reimbursement. An eligible purchaser participating in the Program shall retain ownership of the eligible electric vehicle and meet all applicable project requirements for a minimum 5-year period after the date the eligible purchaser receives the vehicle. Resale of an eligible electric vehicle may be allowed within the 5-year period if necessitated by unforeseen or unavoidable circumstances with approval from the Agency. The Agency shall ensure the resale of an eligible electric vehicle serving a public school or located within an equity investment eligible community shall result in the vehicle servicing a similarly situated community. (f) The deployment of the eligible electric vehicle in the purchaser's fleet is required within 24 months after receipt of notice of approval of the purchaser's Program application. Total completion of the project for which the eligible electric vehicle is purchased or leased must occur within 36 months after receipt of grant funds under the Program. (g) A grant under this Section may be combined with other public incentives to support fleet purchasing decisions. Receipt of any other public incentive for an eligible electric vehicle shall not preclude a purchaser from being awarded a grant under this Section. However, the combined total of governmental incentives, including, but not limited to, tax credits, grants, or vouchers, shall not exceed 80% of the purchase price of the vehicle. (h) The Agency shall set aside 20% of the appropriated funds under the Program for grants to the eligible purchaser of an electric school bus. (i) All awards granted under this Section are subject to appropriation by the General Assembly.
(Source: P.A. 103-588, eff. 1-1-25.) |
(415 ILCS 5/10) (from Ch. 111 1/2, par. 1010)
Sec. 10. Regulations.
(A) The Board, pursuant to procedures prescribed in Title VII of
this Act, may adopt regulations to promote the purposes of this Title.
Without limiting the generality of this authority, such regulations may
among other things prescribe:
(a) (Blank);
(b) Emission standards specifying the maximum amounts | ||
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(c) Standards for the issuance of permits for | ||
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(d) Standards and conditions regarding the sale, | ||
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(e) Alert and abatement standards relative to | ||
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(f) Requirements and procedures for the inspection of | ||
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(g) Requirements and standards for equipment and | ||
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(B) The Board may adopt regulations and emission standards that are applicable or that may become applicable to stationary emission sources located in all areas of the State in accordance with any of the following:
(1) that are required by federal law;
(2) that are otherwise part of the State's attainment | ||
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(3) that are necessary to comply with the | ||
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(C) The Board may not adopt any regulation banning the burning of landscape
waste throughout the State generally. The Board may, by regulation, restrict
or prohibit the burning of landscape waste within
any geographical area of the State if it determines based on medical and
biological evidence generally accepted by the scientific community that
such burning will produce in the atmosphere of that geographical area
contaminants in sufficient quantities and of such characteristics and
duration as to be injurious to human, plant, or animal life or health.
(D) The Board shall adopt regulations requiring the owner or operator of
a gasoline dispensing system that dispenses more than 10,000 gallons of
gasoline per month to install and operate a system for the recovery of
gasoline vapor emissions arising from the fueling of motor vehicles that
meets the requirements of Section 182 of the federal Clean Air Act (42 U.S.C.
7511a). These regulations shall apply only in areas of the State that are
classified as moderate, serious, severe, or extreme nonattainment areas for
ozone pursuant to Section 181 of the federal Clean Air Act (42 U.S.C. 7511),
but shall not apply in such areas classified as moderate nonattainment
areas for ozone if the Administrator of the U.S. Environmental Protection
Agency promulgates standards for vehicle-based (onboard) systems for the
control of vehicle refueling emissions pursuant to Section 202(a)(6) of the
federal Clean Air Act (42 U.S.C. 7521(a)(6)) by November 15, 1992.
(E) The Board shall not adopt or enforce any regulation requiring the use
of a tarpaulin or other covering on a truck, trailer, or other vehicle that is
stricter than the requirements of Section 15-109.1 of the Illinois Vehicle
Code. To the extent that it is in conflict with this subsection, the Board's
rule codified as 35 Ill. Adm. Code 212.315 is hereby superseded.
(F) Any person who, prior to June 8, 1988, has filed a timely Notice of
Intent to Petition for an Adjusted RACT Emissions Limitation and who
subsequently timely files a completed petition for an adjusted RACT
emissions limitation pursuant to 35 Ill. Adm. Code Part 215, Subpart I,
shall be subject to the procedures contained in Subpart I but shall be
excluded by operation of law from 35 Ill. Adm. Code Part 215, Subparts PP,
QQ, and RR, including the applicable definitions in 35 Ill. Adm. Code Part
211. Such persons shall instead be subject to a separate regulation which
the Board is hereby authorized to adopt pursuant to the adjusted RACT
emissions limitation procedure in 35 Ill. Adm. Code Part 215, Subpart I.
In its final action on the petition, the Board shall create a separate rule
which establishes Reasonably Available Control Technology (RACT) for such
person. The purpose of this procedure is to create separate and
independent regulations for purposes of SIP submittal, review, and approval
by USEPA.
(G) Subpart FF of Subtitle B, Title 35 Ill. Adm. Code 218.720
through 218.730 and 219.720 through 219.730, are hereby repealed by
operation of law and are rendered null and void and of no force and effect.
(H) In accordance with subsection (b) of Section 7.2, the Board shall adopt ambient air quality standards specifying the maximum permissible short-term and long-term concentrations of various contaminants in the atmosphere; those standards shall be identical in substance to the national ambient air quality standards promulgated by the Administrator of the United States Environmental Protection Agency in accordance with Section 109 of the Clean Air Act. The Board may consolidate into a single rulemaking under this subsection all such federal regulations adopted within a period of time not to exceed 6 months. The provisions and requirements of Title VII of this Act and Section 5-35 of the Illinois Administrative Procedure Act, relating to procedures for rulemaking, shall not apply to identical in substance regulations adopted pursuant to this subsection. However, the Board shall provide for notice and public comment before adopted rules are filed with the Secretary of State. Nothing in this subsection shall be construed to limit the right of any person to submit a proposal to the Board, or the authority of the Board to adopt, air quality standards more stringent than the standards promulgated by the Administrator, pursuant to the rulemaking requirements of Title VII of this Act and Section 5-35 of the Illinois Administrative Procedure Act. (Source: P.A. 103-154, eff. 6-30-23.)
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(415 ILCS 5/Tit. III heading) TITLE III:
WATER POLLUTION
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(415 ILCS 5/11) (from Ch. 111 1/2, par. 1011)
Sec. 11.
(a) The General Assembly finds:
(1) that pollution of the waters of this State constitutes a menace
to public health and welfare, creates public nuisances, is harmful to
wildlife, fish, and aquatic life, impairs domestic, agricultural,
industrial, recreational, and other legitimate beneficial uses of water,
depresses property values, and offends the senses;
(2) that the Federal Water Pollution Control Act, as now or hereafter amended,
provides for a National Pollutant Discharge Elimination System (NPDES)
to regulate the discharge of contaminants to the waters of the United States;
(3) that the Safe Drinking Water Act (P.L. 93-523), as amended, provides
for an Underground Injection Control (UIC) program to regulate the underground
injection of contaminants;
(4) that it would be inappropriate and misleading for the State of Illinois
to issue permits to contaminant sources subject to such federal law, as
well as State law, which do not contain such terms and conditions as are
required by federal law, or the issuance of which is contrary to federal law;
(5) that the Federal Water Pollution Control Act, as now or hereafter amended,
provides that NPDES permits shall be issued by the United States
Environmental Protection Agency unless (a) the State is authorized by and
under its law to establish and administer its own permit program for discharges
into waters within its jurisdiction, and (b) pursuant to such federal Act,
the Administrator of the United States Environmental Protection Agency approves
such State program to issue permits which will implement the provisions
of such federal Act;
(6) that Part C of the Safe Drinking Water Act (P.L. 93-523), as amended,
provides that the United States Environmental Protection Agency shall implement
the UIC program authorized therein unless (a) the State is authorized by
and under its law to establish and administer its own UIC program, and (b)
pursuant to such federal Act, the Administrator of the United States
Environmental Protection Agency approves such State program which will
implement the provisions of such federal Act;
(7) that it is in the interest of the People of the State of Illinois
for the State to authorize such NPDES and UIC programs and secure federal
approval thereof, and thereby to avoid the existence of duplicative,
overlapping or conflicting state and federal statutory permit systems;
(8) that the federal requirements for the securing of such
NPDES and UIC permit program approval, as set forth in the Federal Water
Pollution Control Act, as now or hereafter amended,
and in the Safe
Drinking Water Act (P.L. 93-523), as amended, respectively, and in regulations
promulgated by the Administrator of the United States Environmental Protection
Agency pursuant thereto are complex and detailed, and the General Assembly
cannot conveniently or advantageously set forth in this Act all the
requirements of such federal Act or all regulations which may be
established thereunder.
(b) It is the purpose of this Title to restore, maintain and enhance the
purity of the waters of this State in order to protect health, welfare,
property, and the quality of life, and to assure that no contaminants are
discharged into the waters of the State, as defined herein, including, but not
limited to, waters to any sewage works, or into any well, or from any source
within the State of Illinois, without being given the degree of treatment
or control necessary to prevent pollution, or without being made subject
to such conditions as are required to achieve and maintain compliance with
State and federal law; and to authorize, empower, and direct the Board to
adopt such regulations and the Agency to adopt such procedures as will enable
the State to secure federal approval to issue NPDES permits pursuant to
the provisions of the Federal Water Pollution Control Act, as now or
hereafter amended, and federal regulations pursuant thereto and to
authorize, empower, and direct the Board to adopt such regulations and the
Agency to adopt such procedures as will enable the State to secure federal
approval of the State UIC program pursuant to the provisions of Part C of
the Safe Drinking Water Act (P.L. 93-523), as amended, and federal
regulations pursuant thereto.
(c) The provisions of this Act authorizing implementation of the regulations
pursuant to an NPDES program shall not be construed to limit, affect, impair,
or diminish the authority, duties and responsibilities of the Board, Agency,
Department or any other governmental agency or officer, or of any unit of local
government, to regulate and control pollution of any kind, to restore, to
protect or to enhance the quality of the environment, or to achieve all
other purposes, or to enforce provisions, set forth in this Act or other
State law or regulation.
(Source: P.A. 86-671.)
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(415 ILCS 5/12) (from Ch. 111 1/2, par. 1012) (Text of Section before amendment by P.A. 103-801 ) Sec. 12. Actions prohibited. No person shall: (a) Cause or threaten or allow the discharge of any | ||
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(b) Construct, install, or operate any equipment, | ||
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(c) Increase the quantity or strength of any | ||
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(d) Deposit any contaminants upon the land in such | ||
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(e) Sell, offer, or use any article in any area in | ||
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(f) Cause, threaten or allow the discharge of any | ||
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No permit shall be required under this subsection and | ||
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For all purposes of this Act, a permit issued by the | ||
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Compliance with the terms and conditions of any | ||
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In any case where a permit has been timely applied | ||
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(g) Cause, threaten or allow the underground | ||
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No permit shall be required under this subsection and | ||
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(h) Introduce contaminants into a sewage works from | ||
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(i) Beginning January 1, 2013 or 6 months after the | ||
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(Source: P.A. 96-801, eff. 1-1-10; 97-1081, eff. 8-24-12.) (Text of Section after amendment by P.A. 103-801 ) Sec. 12. Actions prohibited. No person shall: (a) Cause or threaten or allow the discharge of any | ||
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(b) Construct, install, or operate any equipment, | ||
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(c) Increase the quantity or strength of any | ||
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(d) Deposit any contaminants upon the land in such | ||
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(e) Sell, offer, or use any article in any area in | ||
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(f) Cause, threaten or allow the discharge of any | ||
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No permit shall be required under this subsection and | ||
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For all purposes of this Act, a permit issued by the | ||
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Compliance with the terms and conditions of any | ||
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In any case where a permit has been timely applied | ||
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(g) Cause, threaten or allow the underground | ||
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No permit shall be required under this subsection and | ||
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(h) Introduce contaminants into a sewage works from | ||
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(i) Beginning January 1, 2013 or 6 months after the | ||
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(Source: P.A. 103-801, eff. 1-1-25.) |
(415 ILCS 5/12.1) (from Ch. 111 1/2, par. 1012.1)
Sec. 12.1.
(Repealed).
(Source: P.A. 83-1358. Repealed by P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/12.2) (from Ch. 111 1/2, par. 1012.2)
Sec. 12.2.
Water pollution construction permit fees.
(a) Beginning July 1, 2003, the Agency shall
collect a fee in the amount set forth in this Section:
(1) for any sewer which requires a construction | ||
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(2) for any treatment works, industrial pretreatment | ||
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(b) Each applicant or person required to pay a fee under this Section
shall submit the fee to the Agency along with the permit application. The
Agency shall deny any construction permit application for which a fee is
required under this Section that does not contain the appropriate fee.
(c) The amount of the fee is as follows:
(1) A $100 fee shall be required for any sewer | ||
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(2) A $400 fee shall be required for any sewer | ||
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(3) A $800 fee shall be required for any sewer | ||
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(4) A $1200 fee shall be required for any sewer | ||
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(5) A $2400 fee shall be required for any sewer | ||
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(6) A $1,000 fee shall be required for any industrial | ||
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(7) A $3,000 fee shall be required for any industrial | ||
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(8) A $6,000 fee shall be required for any industrial | ||
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(9) A $2,500 fee shall be required for construction | ||
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All fees collected by the Agency under this Section shall be deposited into
the Environmental Protection Permit and Inspection Fund in accordance with
Section 22.8.
(d) Prior to a final Agency decision on a permit application for which
a fee has been paid under this Section, the applicant may propose
modification to the application in accordance with this Act and regulations
adopted hereunder without any additional fee becoming due, unless the
proposed modifications cause an increase in the design population served by
the sewer specified in the permit application before the modifications
or the modifications cause a change in the applicable fee category stated
in subsection (c). If the modifications cause such an increase or change
the fee category and the increase results in additional fees being due under
subsection (c), the applicant shall submit the additional fee to the Agency
with the proposed modifications.
(e) No fee shall be due under this Section from:
(1) any department, agency or unit of State | ||
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(2) any unit of local government with which the | ||
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(3) any unit of local government or school district | ||
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(i) the cost of the installation or extension is | ||
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(ii) the unit of local government or school | ||
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(f) The Agency may establish procedures relating to the collection of
fees under this Section. The Agency shall not refund any fee paid to it
under this Section. Notwithstanding the provisions of any rule adopted
before July 1, 2003 concerning fees under this Section, the Agency
shall assess and collect the fees imposed under subdivision (a)(2) of this
Section and the increases in the fees imposed under subdivision (a)(1) of
this Section beginning on July 1, 2003, for all completed applications
received on or after that date.
(g) Notwithstanding any other provision of this Act, the Agency shall,
not later than 45 days following the receipt of both an application for a
construction permit and the fee required by this Section, either approve
that application and issue a permit or tender to the applicant a written
statement setting forth with specificity the reasons for the disapproval of
the application and denial of a permit. If the Agency takes no final action
within 45 days after the filing of the application for a permit, the applicant
may deem the permit issued.
(h) For purposes of this Section:
"Toxic pollutants" means those pollutants defined in Section 502(13) of
the federal Clean Water Act and regulations adopted pursuant to that Act.
"Industrial" refers to those industrial users referenced in Section 502(13)
of the federal Clean Water Act and regulations adopted pursuant to that Act.
"Pretreatment" means the reduction of the amount of pollutants, the
elimination of pollutants, or the alteration of the nature of pollutant
properties in wastewater prior to or in lieu of discharging or otherwise
introducing those pollutants into a publicly owned treatment works or publicly
regulated treatment works.
(Source: P.A. 93-32, eff. 7-1-03.)
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(415 ILCS 5/12.3) (from Ch. 111 1/2, par. 1012.3)
Sec. 12.3.
Septic system sludge.
Beginning January 1, 1993, any
wastewater treatment facility or other appropriate waste disposal facility
owned or operated by a unit of local government located in a county with a
population of less than 3,000,000 may accept, for appropriate
treatment or disposal, any septic system sludge generated by any private
residence within that unit of local government or within any other unit of
local government that is located within the same county and not served by
its own wastewater treatment facility. The unit of local government may
establish and charge reasonable fees for the acceptance, handling, treatment,
and disposal of the sludge to defray any additional capital costs incurred
specifically to comply with this Section.
This Section does not limit any power exercised by a unit of local
government under any other law.
(Source: P.A. 87-1138.)
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(415 ILCS 5/12.4)
Sec. 12.4. Vegetable by-product; land application; report. In addition to any other requirements of this Act, a generator of vegetable
by-products utilizing land application shall prepare an annual report identifying the quantity of vegetable by-products transported for land
application during the reporting period, the hauler or haulers utilized for
the transportation, and the sites to which the vegetable by-products were
transported. The report must be retained on the premises of the generator for a minimum of 5 calendar years after the end of the applicable reporting period and must, during that time, be made available to the Agency for inspection and copying during normal business hours.
(Source: P.A. 100-103, eff. 8-11-17.)
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(415 ILCS 5/12.5)
Sec. 12.5. NPDES discharge fees; sludge permit fees.
(a) Beginning July 1, 2003, the Agency shall assess and collect annual fees
(i) in the amounts set forth in subsection (e) for all discharges that require
an NPDES permit under subsection (f) of Section 12, from each person holding an
NPDES permit authorizing those discharges (including a person who continues to
discharge under an expired permit pending renewal), and (ii) in the amounts
set forth in subsection (f) of this Section for all activities that require a
permit under subsection (b) of Section 12, from each person holding a domestic
sewage sludge generator or user permit.
Each person subject to this Section must remit the applicable annual fee to
the Agency in accordance with the requirements set forth in this Section and
any rules adopted pursuant to this Section.
(b) Within 30 days after the effective date of this Section, and each year thereafter, except when a fee is not due because of the operation of subsection (c), the Agency shall send a fee notice by mail
to each existing permittee subject to a fee under this Section at his or her
address of record. The notice shall state the amount of the applicable annual
fee and the date by which payment is required.
Except as provided in subsection (c) with respect to initial fees under
new permits and certain modifications of existing permits, fees payable under
this Section are due by the date
specified in the fee notice, which shall be no less than 30 days after the date
the fee notice is mailed by the Agency.
(c) The initial annual fee for discharges under a new NPDES
permit or for activity under a new
sludge generator or sludge user
permit must be remitted to the Agency prior to the issuance of the permit.
The Agency shall provide notice of the amount of the fee to the applicant
during its review of the application. In the case of a new
NPDES
or sludge permit issued during the months of January through June, the Agency
may prorate the initial annual fee payable under this Section.
The initial annual fee for discharges or other activity under a general
NPDES permit must be remitted to the Agency as part of the application
for coverage under that general permit.
Beginning January 1, 2010, in the case of construction site storm water discharges for which a coverage letter under a general NPDES permit or individual NPDES permit has been issued or for which the application for coverage under an NPDES permit has been filed with the Agency, no annual fee shall be due after payment of an initial annual fee in the amount provided in subsection (e)(10) of this Section.
If a requested modification to an existing NPDES permit causes a change in
the applicable fee categories under subsection (e) that results in an increase
in the required fee, the permittee must pay to the Agency the amount of the
increase, prorated for the number of months remaining before the next July 1,
before the modification is granted.
(d) Failure to submit the fee required under this Section by the due
date constitutes a violation of this Section. Late payments shall incur an
interest penalty, calculated at the rate in effect from time to time for tax
delinquencies under subsection (a) of Section 1003 of the Illinois Income Tax
Act, from the date the fee is due until the date the fee payment is received
by the Agency.
(e) The annual fees applicable to discharges under NPDES permits are as
follows:
(1) For NPDES permits for publicly owned treatment | ||
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(i) $1,500 for the 12 months beginning July 1, | ||
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(ii) $5,000 for the 12 months beginning July 1, | ||
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(iii) $7,500 for facilities with a Design Average | ||
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(iv) $15,000 for facilities with a Design Average | ||
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(v) $30,000 for facilities with a Design Average | ||
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(vi) $50,000 for facilities with a Design Average | ||
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(2) For NPDES permits for treatment works or sewer | ||
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(i) $1,000 for systems serving a tributary | ||
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(ii) $5,000 for systems serving a tributary | ||
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(iii) $20,000 for systems serving a tributary | ||
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The fee amounts in this subdivision (e)(2) are in | ||
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(3) For NPDES permits for mines producing coal, the | ||
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(4) For NPDES permits for mines other than mines | ||
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(5) For NPDES permits for industrial activity where | ||
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(i) $1,000 for a facility with a Design Average | ||
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(ii) $2,500 for a facility with a Design Average | ||
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(iii) $10,000 for a facility with a Design | ||
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(6) For NPDES permits for industrial activity where | ||
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(i) $15,000 for a facility with a Design Average | ||
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(ii) $20,000 for a facility with a Design Average | ||
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(7) For NPDES permits for industrial activity | ||
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(i) $30,000 for a facility where toxic substances | ||
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(ii) $50,000 for a facility where toxic | ||
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(8) For NPDES permits for municipal separate storm | ||
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(9) For NPDES permits for industrial storm water, the | ||
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(10) For NPDES permits for construction site storm | ||
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(A) for applications received before January 1, | ||
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(B) for applications received on or after January | ||
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(i) $250 if less than 5 acres are disturbed; | ||
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(ii) $750 if 5 or more acres are disturbed. (11) For an NPDES permit for a Concentrated Animal | ||
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(A) $750 for a Large CAFO, as defined in 40 | ||
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(B) $350 for a Medium CAFO, as defined in 40 | ||
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(C) $150 for a Small CAFO, as defined in 40 | ||
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(f) The annual fee for activities under a permit that authorizes applying
sludge on land is $2,500 for a sludge generator permit and $5,000 for a sludge
user permit.
(g) More than one of the annual fees specified in subsections (e) and (f)
may be applicable to a permit holder. These fees are in addition to any other
fees required under this Act.
(h) The fees imposed under this Section do not apply to the State or any
department or agency of the State, nor to any school district, or to any private sewage disposal system as defined in the Private Sewage Disposal Licensing Act (225 ILCS 225/).
(i) The Agency may adopt rules to administer the fee program established
in this Section. The Agency may include provisions pertaining to invoices,
notice of late payment, refunds, and disputes concerning the amount or timeliness of
payment. The Agency may set forth procedures and criteria for the acceptance
of payments. The absence of such rules does not affect the duty of the Agency
to immediately begin the assessment and collection of fees under this Section.
(j) All fees and interest penalties collected by the Agency under this
Section shall be deposited into the Illinois Clean Water Fund, which is
hereby created as a special fund in the State treasury. Gifts,
supplemental environmental project funds, and grants may be deposited into
the Fund. Investment earnings on moneys held in the Fund shall be credited
to the Fund.
Subject to appropriation, the moneys in the Fund shall be used by the
Agency to carry out the Agency's clean water activities.
(k) Except as provided in subsection (l) or Agency rules, fees paid to the Agency under this Section are not refundable.
(l) The Agency may refund the difference between (a) the amount paid by any person under subsection (e)(1)(i) or (e)(1)(ii) of this Section for the 12 months beginning July 1, 2004 and (b) the amount due under subsection (e)(1)(i) or (e)(1)(ii) as established by this amendatory Act of the 93rd General Assembly.
(Source: P.A. 96-245, eff. 8-11-09; 97-962, eff. 8-15-12.)
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(415 ILCS 5/12.6)
Sec. 12.6. Certification fees.
(a) Beginning July 1, 2003, the Agency shall collect a fee in the amount
set forth in subsection (b) from each applicant for a state water quality
certification required by Section 401 of the federal Clean Water Act prior
to a federal authorization pursuant to Section 404 of that Act; except that
the fee does not apply to the State or any department or agency of the State,
nor to any school district.
(b) The amount of the fee for a State water quality certification is $350 or
1% of the gross value of the proposed project, whichever is greater, but not to
exceed $10,000.
(c) Each applicant seeking a federal authorization of an action requiring
a Section 401 state water quality certification by the Agency shall submit
the required fee to the Agency prior to the issuance of the certification. The Agency shall provide notice of the amount of the fee to the applicant during its review of the application. The Agency shall not issue a Section 401 state water quality certification until the appropriate fee has been received from the applicant.
(d) The Agency may establish procedures relating to the collection of fees
under this Section. Notwithstanding the adoption of any rules establishing
such procedures, the Agency may begin collecting fees under this Section on
July 1, 2003 for all complete applications received on or after that date.
All fees collected by the Agency under this Section shall be deposited
into the Illinois Clean Water Fund. Fees paid under this Section are not
refundable.
(Source: P.A. 95-516, eff. 8-28-07.)
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(415 ILCS 5/12.7) (This Section may contain text from a Public Act with a delayed effective date ) Sec. 12.7. Wastewater reuse. Notwithstanding any other provision of law, the use of treated municipal wastewater from a publicly owned treatment works is authorized for irrigation when conducted in accordance with a permit issued under Section 39(b) of the Act. (Source: P.A. 103-801, eff. 1-1-25.) |
(415 ILCS 5/13) (from Ch. 111 1/2, par. 1013)
Sec. 13.
Regulations.
(a) The Board, pursuant to procedures prescribed in Title VII of
this Act, may adopt regulations to promote the purposes and provisions
of this Title. Without limiting the generality of this authority, such
regulations may among other things prescribe:
(1) Water quality standards specifying among other | ||
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(2) Effluent standards specifying the maximum amounts | ||
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(3) Standards for the issuance of permits for | ||
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(4) The circumstances under which the operators of | ||
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(5) Standards for the filling or sealing of abandoned | ||
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(6) Standards and conditions regarding the sale, | ||
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(7) Alert and abatement standards relative to | ||
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(8) Requirements and procedures for the inspection of | ||
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(9) Requirements and standards for equipment and | ||
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(b) Notwithstanding other provisions of this Act and for purposes of
implementing an NPDES program, the Board shall adopt:
(1) Requirements, standards, and procedures which, | ||
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(2) Regulations for the exemption of any category or | ||
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(c) In accordance with Section 7.2, and notwithstanding any other provisions
of this Act, for purposes of implementing a State UIC program, the Board shall
adopt regulations which are identical in substance to federal regulations or
amendments thereto promulgated by the Administrator of the United States
Environmental Protection Agency in accordance with Section 1421 of the Safe
Drinking Water Act (P.L. 93-523), as amended. The Board may consolidate
into a single rulemaking under this Section all such federal regulations
adopted within a period of time not to exceed 6 months. The provisions and
requirements of Title VII of this Act shall not apply to regulations
adopted under this subsection. Section 5-35 of the Illinois
Administrative Procedure Act relating to procedures for rulemaking shall not
apply to regulations adopted under this subsection.
(d) The Board may adopt regulations relating to a State UIC program that
are not inconsistent with and are at least as stringent as the Safe Drinking
Water Act (P.L. 93-523), as amended, or regulations adopted thereunder.
Regulations adopted pursuant to this subsection shall be adopted in
accordance with the provisions and requirements of Title VII of this Act
and the procedures for rulemaking in Section 5-35 of the Illinois
Administrative Procedure Act.
(Source: P.A. 93-170, eff. 7-10-03.)
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(415 ILCS 5/13.1) (from Ch. 111 1/2, par. 1013.1)
Sec. 13.1.
Groundwater monitoring network.
(a) (Blank.)
(b) The Agency shall establish a Statewide groundwater monitoring
network. Such network shall include a sufficient number of testing wells to
assess the current levels of contamination in the groundwaters of the State
and to detect any future degradation of groundwater resources. The
monitoring network shall give special emphasis to critical groundwater
areas and to locations near hazardous waste disposal facilities. To the
extent possible, the network shall utilize existing publicly or privately
operated drinking water or monitoring wells.
(c) (Blank.)
(d) (Blank.)
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/13.2) (from Ch. 111 1/2, par. 1013.2)
Sec. 13.2.
At the request of the owner or user of a
private well, the Agency shall provide for annual testing of water from
private wells located within 1/2 mile of any active or inactive sanitary
landfill or hazardous waste disposal facility
at no charge to the owner of the well.
Before obtaining a sample for testing, the Agency shall, not less than
5 business days prior to obtaining the sample, notify the owner or operator
of the sanitary landfill or hazardous waste disposal facility of the
opportunity to obtain a split sample and specify the sampling procedure,
testing procedure and analytical parameters to be evaluated.
Sample collection shall be conducted in cooperation with the Illinois
Department of Public Health and the recognized local health department,
where one exists, in whose jurisdiction the well is located. The Illinois
Department of Public Health and the local health department shall be
provided with a written report of results upon completion of sample testing.
(Source: P.A. 83-1528.)
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(415 ILCS 5/13.3) (from Ch. 111 1/2, par. 1013.3)
Sec. 13.3.
In accordance with Section 7.2, the Board shall adopt regulations
which are identical in substance to federal regulations or amendments thereto
promulgated by the Administrator of the United States Environmental
Protection Agency to implement Sections 307(b), (c), (d), 402(b)(8) and
402(b)(9) of the Federal Water Pollution Control Act, as amended. The
Board may consolidate into a single rulemaking under this Section all such
federal regulations adopted within a period of time not to exceed 6 months.
The provisions and requirements of Title VII of this Act shall not apply to
regulations adopted under this Section. Sections 5-35 and 5-75 of the Illinois
Administrative Procedure Act relating to procedures for rulemaking shall not
apply to regulations adopted under this Section. However, the Board shall
provide for notice and public comment before adopted rules are filed with the
Secretary of State.
(Source: P.A. 88-45; 89-445, eff. 2-7-96.)
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(415 ILCS 5/13.4)
Sec. 13.4.
Pretreatment market system.
(a) The General Assembly finds:
(1) That achieving compliance with federal, State, | ||
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(2) That economic incentives and market-based | ||
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(3) That development and operation of a pretreatment | ||
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(b) The Agency shall design a pretreatment market system that will provide
more flexibility for municipalities and their tributary dischargers to develop
cost-effective solutions and will result in at least the total pollutant
reduction as achieved by the current application of federal categorical
standards, State pretreatment limits, and locally derived limits, as
applicable. Such a
system should also assist publicly-owned treatment works in meeting applicable
NPDES permit limits and in preventing the discharge of
pollutants in quantities that would interfere with the operation of
the municipal sewer system. In developing this system, the Agency shall
consult with interested publicly-owned treatment works and tributary
dischargers
to
ensure that relevant economic, environmental, and administrative factors are
taken into account. As necessary, the Agency shall also consult with the
United States Environmental Protection Agency regarding the suitability of such
a system.
(c) The Agency may adopt proposed rules for a market-based
pretreatment pollutant reduction, banking, and trading system that will
enable publicly-owned treatment works and their tributary dischargers to
implement cost-effective
compliance options. Any proposal shall be adopted in accordance with the
provisions of the Illinois Administrative Procedure Act.
(d) Notwithstanding the other provisions of this Act, a publicly-owned
treatment works may implement a pretreatment market system that is consistent
with subsection (b) of this Section, provided that the publicly-owned treatment
works:
(1) operates an approved local pretreatment program | ||
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(2) is not currently subject to enforcement action | ||
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(3) receives wastewater from tributary dischargers | ||
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(4) has modified, as appropriate, the local | ||
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(e) Prior to implementation of any pretreatment market system, a
publicly-owned treatment works shall notify the Agency in writing of its
intention and request the Agency to make a consistency determination regarding
the local system's conformance with the rules promulgated pursuant to
subsection (c) of this Section. Within 120 days, the Agency shall provide the
determination
in writing to the publicly-owned treatment works.
(f) Notwithstanding the other provisions of this Act, any discharger
that is tributary to a publicly-owned treatment works with a pretreatment
market system shall be eligible to exchange trading units with dischargers
tributary to the same publicly-owned treatment works or with the
publicly-owned treatment works to which it is tributary.
(g) Nothing in this Section shall be deemed to authorize a
publicly-owned treatment works:
(1) to mandate the exchange of trading units by a | ||
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(2) to mandate reductions in pollutants from any | ||
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(Source: P.A. 90-773, eff. 8-14-98.)
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(415 ILCS 5/13.5)
Sec. 13.5.
Sewage works; operator certification.
(a) For the purposes of this Section, the term "sewage works" includes,
without limitation, wastewater treatment works, pretreatment works, and sewers
and collection systems.
(b) The Agency may establish and enforce standards for the definition and
certification of the technical competency of personnel who operate sewage
works, and for ascertaining that sewage works are under the supervision of
trained individuals whose qualifications have been approved by the Agency.
(c) The Agency may issue certificates of competency to persons meeting the
standards of technical competency established by the Agency under this Section,
and may promulgate and enforce regulations pertaining to the issuance and use
of those certificates.
(d) The Agency shall administer the certification program established under
this Section. The Agency may enter into formal working agreements with other
departments or agencies of State or local government under which all or
portions of its authority under this Section may be delegated to the
cooperating department or agency.
(e) This Section and the changes made to subdivision (a)(4) of Section
13 by this amendatory Act of the 93rd General Assembly do not invalidate
the operator certification rules previously adopted by the Agency and
codified as Part 380 of Title 35, Subtitle C, Chapter II of the Illinois
Administrative Code. Those rules, as amended from time to time, shall
continue in effect until they are superseded or repealed.
(Source: P.A. 93-170, eff. 7-10-03.)
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(415 ILCS 5/13.6) Sec. 13.6. Release of
radionuclides at nuclear power plants. (a) The purpose of this Section is to require the detection and reporting of unpermitted releases of any
radionuclides into groundwater, surface water, or soil at nuclear power plants, to the extent that federal law or regulation does not preempt such requirements. (b) No owner or operator of a nuclear power plant shall violate any rule adopted under this Section. (c) Within 24 hours after an unpermitted release of a
radionuclide from a nuclear power plant, the owner or operator of the nuclear power plant where the release occurred shall report the release to the Agency and the Illinois Emergency Management Agency. For purposes of this Section, "unpermitted release of a
radionuclide" means any spilling, leaking, emitting, discharging, escaping, leaching, or disposing of a
radionuclide into groundwater, surface water, or soil that is not permitted under State or federal law or regulation. (d) The Agency and the Illinois Emergency Management Agency shall inspect each nuclear power plant for compliance with the requirements of this Section and rules adopted pursuant to this Section no less than once each calendar quarter. Nothing in this Section shall limit the Agency's authority to make inspections under Section 4 or any other provision of this Act. (e) No later than one year after the effective date of this amendatory Act of the 94th General Assembly, the Agency, in consultation with the Illinois Emergency Management Agency, shall propose rules to the Board prescribing standards for detecting and reporting unpermitted releases of
radionuclides. No later than one year after receipt of the Agency's proposal, the Board shall adopt rules prescribing standards for detecting and reporting unpermitted releases of
radionuclides.
(Source: P.A. 94-849, eff. 6-12-06; 95-66, eff. 8-13-07.) |
(415 ILCS 5/13.7) Sec. 13.7. Carbon dioxide sequestration sites. (a) For purposes of this Section, the term "carbon dioxide sequestration site" means a site or facility for which the Agency has issued a permit for the underground injection of carbon dioxide. (b) The Agency shall inspect carbon dioxide sequestration sites for compliance with this Act, rules adopted under this Act, and permits issued by the Agency. (c) If the Agency issues a seal order under Section 34 of this Act in relation to a carbon dioxide sequestration site, or if a civil action for an injunction to halt activity at a carbon dioxide sequestration site is initiated under Section 43 of this Act at the request of the Agency, then the Agency shall post notice of such action on its website. (d) Persons seeking a permit or permit modification for the underground injection of carbon dioxide shall be liable to the Agency for all reasonable and documented costs incurred by the Agency that are associated with review and issuance of the permit, including, but not limited to, costs associated with public hearings and the review of permit applications. Once a permit is issued, the permittee shall be liable to the Agency for all reasonable and documented costs incurred by the Agency that are associated with inspections and other oversight of the carbon dioxide sequestration site. Persons liable for costs under this subsection (d) must pay the costs upon invoicing, or other request or demand for payment, by the Agency. Costs for which a person is liable under this subsection (d) are in addition to any other fees, penalties, or other relief provided under this Act or any other law. Moneys collected under this subsection (d) shall be deposited into the Environmental Protection Permit and Inspection Fund established under Section 22.8 of this Act. The Agency may adopt rules relating to the collection of costs due under this subsection (d). (e) The Agency shall not issue a permit or permit modification for the underground injection of carbon dioxide unless all costs for which the permittee is liable under subsection (d) of this Section have been paid. (f) No person shall fail or refuse to pay costs for which the person is liable under subsection (d) of this Section.
(Source: P.A. 97-96, eff. 7-13-11; 97-239, eff. 8-2-11.) |
(415 ILCS 5/13.8) Sec. 13.8. Algicide permits. No person shall be required to obtain a permit from the Agency to apply a commercially available algicide, such as copper sulfate or a copper sulfate solution, in accordance with the instructions of its manufacturer, to a body of water that: (i) is located wholly on private property, (ii) is not a water of the United States for purposes of the Federal Water Pollution Control Act, and (iii) is not used as a community water supply source.
(Source: P.A. 100-802, eff. 8-10-18.) |
(415 ILCS 5/13.9) Sec. 13.9. Mahomet Aquifer natural gas storage study. (a) Subject to appropriation, the Prairie Research Institute shall: (1) use remote sensing technologies, such as | ||
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(2) to the extent possible, identify within those | ||
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(b) For purposes of this Section, "underground natural gas storage facility" has the meaning provided in Section 5 of the Illinois Underground Natural Gas Storage Safety Act.
(Source: P.A. 101-573, eff. 1-1-20 .) |
(415 ILCS 5/13.10) Sec. 13.10. Microplastics. By March 1, 2024, the Agency shall make publicly available on its website the following information: (1) a description of microplastics and their effects | ||
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(2) any federal and State regulatory actions taken to | ||
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(3) contact information for an employee of the Agency | ||
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(4) additional resources, including, but not limited | ||
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The Agency shall update the website as additional information or data regarding microplastics in the State becomes available. By October 1, 2024, the Agency shall submit a report to the General Assembly and the Governor that provides an overview of any Agency actions relating to microplastics, a comparative analysis of actions in other states regarding microplastics in the environment, and information on the latest guidance from the United States Environmental Protection Agency. (Source: P.A. 103-93, eff. 1-1-24 .) |
(415 ILCS 5/Tit. IV heading) TITLE IV:
PUBLIC WATER SUPPLIES
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(415 ILCS 5/14) (from Ch. 111 1/2, par. 1014)
Sec. 14.
The General Assembly finds that state supervision of public water
supplies is necessary in order to protect the public from disease and to
assure an adequate supply of pure water for all beneficial uses.
It is the purpose of this Title to assure adequate protection of public
water supplies.
(Source: P.A. 76-2429.)
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(415 ILCS 5/14.1) (from Ch. 111 1/2, par. 1014.1)
Sec. 14.1.
Community water supply; minimum setback zone.
A minimum setback zone is established for the location of each new community
water supply well as follows:
(a) No new community water supply well may be located within 200 feet
of any potential primary or potential secondary source or any potential route.
(b) No new community water supply well deriving water from fractured or
highly permeable bedrock or from an unconsolidated and unconfined sand and
gravel formation may be located within 400 feet of any
potential primary or potential secondary source or any
potential route. Such 400 foot setback is not applicable to any new
community water supply well where the potential primary or potential
secondary source is located within a site for which certification is
currently in effect pursuant to Section 14.5.
(c) Nothing in this Section shall affect any location
and construction requirement imposed in Section 6 of the "Illinois Water
Well Construction Code", approved August 20, 1965, as amended, and
the regulations promulgated thereunder.
(d) For the purposes of this Section, a community water supply well is
"new" if it is constructed after September 24, 1987.
(e) Nothing in this Section shall affect the minimum distance requirements
for new community water supply wells relative to common sources of sanitary
pollution as specified by rules adopted under Section 17 of this Act.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/14.2) (from Ch. 111 1/2, par. 1014.2)
Sec. 14.2.
New potential source or route; minimum setback zone.
A minimum setback zone is established for the location of
each new potential source or new potential route as follows:
(a) Except as provided in subsections (b), (c) and (h) of this Section, no
new potential route or potential primary source or potential secondary
source may be placed within 200 feet of any existing or permitted community
water supply well or other potable water supply well.
(b) The owner of a new potential primary source or a potential secondary
source or a potential route may secure a waiver from the requirement of
subsection (a) of this Section for a potable water supply well other than a
community water supply well. A written request for a waiver shall be made
to the owner of the water well and the Agency. Such request shall identify
the new or proposed potential source or potential route, shall generally
describe the possible effect of such potential source or potential route
upon the water well and any applicable technology-based controls which will
be utilized to minimize the potential for contamination, and shall state
whether, and under what conditions, the requestor will provide an
alternative potable water supply. Waiver may be granted by the owner of
the water well no less than 90 days after receipt of the request unless
prior to such time the Agency notifies the well owner that it does not
concur with the request.
The Agency shall not concur with any such request which fails to accurately
describe reasonably foreseeable effects of the potential source or potential
route upon the water well or any applicable technology-based controls. Such
notification by the Agency shall be in writing, and shall include a statement
of reasons for the nonconcurrence. Waiver of the minimum
setback zone established under subsection (a) of this Section shall
extinguish the water well owner's rights under Section 6b of the Illinois
Water Well Construction Code but shall not preclude enforcement of any law
regarding water pollution. If the owner of the water well has not granted a
waiver within 120 days after receipt of the request or the Agency has
notified the owner that it does not concur with the request, the owner of
a potential source or potential route may file a petition for an exception
with the Board and the Agency pursuant to subsection (c) of this Section.
No waiver under this Section is required where the potable water supply
well is part of a private water system as defined in the Illinois
Groundwater Protection Act, and the owner of such well will also be the
owner of a new potential secondary source or a
potential route. In such instances, a prohibition of 75 feet shall apply
and the owner shall notify the Agency of the intended action so that the
Agency may provide information regarding the potential hazards associated
with location of a potential secondary source or potential route in close
proximity to a potable water supply well.
(c) The Board may grant an exception from the setback requirements of
this Section and subsection (e) of Section 14.3 to the owner of a new
potential route, a new potential primary source other than landfilling or land
treating, or a new potential secondary source. The owner seeking an exception
with respect to a community water supply well shall file a petition with the
Board and the Agency. The owner seeking an exception with respect to a potable
water supply well other than a community water supply well shall file a
petition with the Board and the Agency, and set forth therein the circumstances
under which a waiver has been sought but not obtained pursuant to subsection
(b) of this Section. A petition shall be accompanied by proof that the owner
of each potable water supply well for which setback requirements would be
affected by the requested exception has been notified and been provided with a
copy of the petition. A petition shall set forth such facts as may be required
to support an exception, including a general description of the potential
impacts of such potential source or potential route upon groundwaters and the
affected water well, and an explanation of the applicable technology-based
controls which will be utilized to minimize the potential for contamination of
the potable water supply well.
The Board shall grant an exception, whenever it is found upon presentation of
adequate proof, that compliance with the setback requirements of this Section
would pose an arbitrary and unreasonable hardship upon the petitioner, that the
petitioner will utilize the best available technology controls economically
achievable to minimize the likelihood of contamination of the potable water
supply well, that the maximum feasible alternative setback will be utilized,
and that the location of such potential source or potential route will not
constitute a significant hazard to the potable water supply well.
The Board shall adopt procedural rules
governing requests for exceptions under this subsection. The rulemaking
provisions of Title VII of this Act and of Section 5-35 of the Illinois
Administrative Procedure Act shall not apply to such rules. A decision
made by the Board pursuant to this subsection shall constitute a final
determination.
The granting of an exception by the Board shall not extinguish the water well
owner's rights under Section 6b of the Illinois Water Well Construction Code in
instances where the owner has elected not to provide a waiver pursuant to
subsection (b) of this Section.
(d) Except as provided in subsections (c) and (h) of this Section and
Section 14.5, no new potential route or potential primary source or potential
secondary source may be placed within 400 feet of any existing or permitted
community water supply well deriving water from an unconfined shallow fractured
or highly permeable bedrock formation or from an unconsolidated and unconfined
sand and gravel formation. The Agency shall notify the owner and operator of each well which is afforded
this setback protection and shall maintain a directory of all community water
supply wells to which the 400 foot minimum setback zone applies.
(e) The minimum setback zones established under subsections (a) and (b)
of this Section shall not apply to new common sources of sanitary pollution
as specified pursuant to Section 17 and the regulations adopted thereunder
by the Agency; however, no such common sources may be located within the
applicable minimum distance from a community water supply well specified by
such regulations.
(f) Nothing in this Section shall be construed as limiting the power of
any county or municipality to adopt ordinances which are consistent with
but not more stringent than the prohibitions herein.
(g) Nothing in this Section shall preclude any arrangement under which
the owner or operator of a new source or route does the following:
(1) purchases an existing water supply well and | ||
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(2) replaces an existing water supply well with a new | ||
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(3) implements any other arrangement which is | ||
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(4) modifies the on-site storage capacity at an | ||
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(h) A new potential route, which is an excavation for stone, sand or
gravel and which becomes active on lands which were acquired or were being
held as mineral reserves prior to September 24, 1987, shall only be subject
to the setback requirements of subsections (a) and (d) of this Section with
respect to any community water supply well, non-community water system well,
or semi-private water system well in existence prior to January 1, 1988.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/14.3) (from Ch. 111 1/2, par. 1014.3)
Sec. 14.3.
Community water supply; maximum setback zone.
A maximum setback zone may be established for a community
water supply well as follows:
(a) Owners of community water supplies which utilize any water well,
or any county or municipality served by any community water supply well,
may determine the lateral area of influence of the well
under normal operational conditions. The Agency shall adopt procedures by
which such determinations may be made including, where appropriate, pumping
tests and estimation techniques.
(b) Where the results of any determination made pursuant to subsection (a)
of
this Section disclose that the distance from the well to the outermost
boundary of the lateral area of influence of the well under normal operational
conditions exceeds the radius of the minimum setback zone established for
that well pursuant to Section 14.2, any county or municipality served by
such water supply may in writing request the Agency to review and confirm
the technical adequacy of such determination. The Agency shall, within 90 days
of the request, notify the county or municipality whether the determination is
technically adequate for describing the outer boundary of drawdown of the
affected groundwater by the well under normal operational conditions. Any
action by the Agency hereunder shall be in writing and shall constitute a final
determination of the Agency.
(c) Upon receipt of Agency confirmation of the technical adequacy of
such determination, the county or municipality may,
after notice and opportunity for comment, adopt an ordinance setting forth
the location of each affected well and specifying the boundaries of a
maximum setback zone,
which boundaries may be irregular. In no event, however, shall any portion
of such a boundary be in excess of 1,000 feet from the wellhead, except
as provided by subsection (f) of this Section.
Such ordinance shall include the area within the applicable minimum setback
zone and shall incorporate requirements which are consistent with but not
more stringent than the
prohibitions of this Act and the regulations promulgated by the Board under
Section 14.4, except as provided by subsection (f) of this Section.
Upon adoption, the county or municipality shall provide a copy of the
ordinance to the Agency. Any county or municipality which fails to adopt
such an ordinance within 2 years of receipt of Agency confirmation of
technical adequacy may not proceed under the authority of this Section
without obtaining a new confirmation of the technical adequacy pursuant to
subsection (b) of this Section.
(d) After July 1, 1989, and upon written notice to the county or
municipality, the Agency may propose to the Board a regulation
establishing a maximum setback zone for any well subject to this Section.
Such proposal shall be based upon all reasonably available hydrogeologic
information, include the justification for expanding the zone of wellhead
protection, and specify the boundaries of such zone, no portion of which
boundaries shall be in excess of 1,000 feet from the wellhead. Such
justification may include the need to protect a sole source of public water
supply or a highly vulnerable source of groundwater, or an Agency finding
that the presence of potential primary or potential secondary sources or
potential routes represents a
significant hazard to the public health or the environment.
The Agency may proceed with the filing of such a proposal unless the
county or municipality, within 30 days of the receipt of the
written notice, files a written request for a conference with the Agency.
Upon receipt of such a request, the Agency shall schedule a conference to
be held within 90 days thereafter. At the conference, the Agency shall
inform the county or municipality regarding the proposal.
Within 30 days after the conference, the affected unit of local government
may provide written notice to the Agency of its intent to establish a
maximum setback zone in lieu of the Agency acting on a proposal. Upon
receipt of such a notice of intent, the Agency may not file a proposal with
the Board for a period of 6 months. Rulemaking proceedings initiated by
the Agency under this subsection shall be conducted by the Board pursuant
to Title VII of this Act, except that subsection (b) of Section 27 shall not
apply.
Nothing in this Section shall be construed as limiting the general
authority of the Board to promulgate regulations pursuant to Title VII of
this Act. Nothing in this subsection shall limit the right of any person
to participate in rulemaking proceedings conducted by the Board under this
subsection.
(e) Except as provided in subsection (c) of Section 14.2, no new
potential primary source shall be placed within the maximum
setback zone established for any community water supply well pursuant to
subsection (c) or (d) of
this Section. Nothing in this subsection shall be construed as limiting
the power of any county or municipality to adopt ordinances which are
consistent with but not more stringent than the prohibition as stated herein.
(f) If an active community water supply well is withdrawing
groundwater from within the alluvial deposits
and is located within 1000 feet of
public waters, the
boundaries of a maximum setback zone adopted by ordinance pursuant to
subsection (c) may be established to a distance of 2,500 feet from the
wellhead. No new potential route shall be placed, operated or utilized
within the maximum setback zone established for any community water supply
well pursuant to this subsection. Restrictions provided in subsection (e)
shall not be applied beyond 1,000 feet from the wellhead for maximum setback
zones adopted pursuant to this
subsection. An ordinance which creates a maximum setback zone as described
by this subsection shall also be consistent with subsections (a), (b) and
(c) of this Section, including incorporation of requirements which are
consistent with but no more stringent than the prohibitions of this Act. For purposes of this subsection, the term
"public waters" means public waters as defined in Section 18 of the Rivers,
Lakes, and Streams Act, as now
or hereafter amended.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/14.4) (from Ch. 111 1/2, par. 1014.4)
Sec. 14.4.
Groundwater rules.
(a) No later than January 1, 1989, the Agency, after consultation with the
Interagency Coordinating Committee on Groundwater and the Groundwater Advisory
Council, shall propose regulations to the Board prescribing standards and
requirements for the following activities:
(1) landfilling, land treating, surface impounding or | ||
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(2) storage of special waste in an underground | ||
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(3) storage and related handling of pesticides and | ||
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(4) storage and related handling of road oils and | ||
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(5) storage and related handling of pesticides and | ||
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In preparing such regulation, the Agency shall provide as it deems
necessary for more stringent provisions for those activities enumerated in
this subsection which are not already in existence. Any activity for which
such standards and requirements are proposed may be referred to
as a new activity.
For the purposes of this Section, the term "commercial application"
shall not include the use of pesticides or fertilizers in a manner incidental
to the primary business activity.
(b) No later than October 1, 1993, the Board shall promulgate appropriate
regulations for existing activities. In promulgating these regulations, the
Board shall, in addition to the factors set forth in Title VII of this Act,
consider the following:
(1) appropriate programs for water quality monitoring;
(2) reporting, recordkeeping and remedial response | ||
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(3) appropriate technology-based measures for | ||
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(4) requirements for closure or discontinuance of | ||
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Such regulations as are promulgated pursuant to this subsection shall be
for the express purpose of protecting groundwaters. The applicability of
such regulations shall be limited to any existing activity which is located:
(A) within a setback zone regulated by this Act, | ||
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(B) within a regulated recharge area as delineated by | ||
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(i) the boundary of the lateral area of influence | ||
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(ii) the distance from the wellhead of the | ||
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(iii) the community water supply well was in | ||
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In addition, the Board shall ensure that the promulgated regulations are
consistent with and not pre-emptive of the certification system provided by
Section 14.5. The Board shall modify the
regulations adopted under this subsection to provide an exception for
existing activities subject to Section 14.6.
(c) Concurrently with the action mandated by subsection (a), the Agency
shall evaluate, with respect to the protection of groundwater, the adequacy
of existing federal and State regulations regarding the disposal of hazardous
waste and the offsite disposal of special and municipal wastes. The Agency
shall then propose, as it deems necessary, additional regulations for such new
disposal activities as may be necessary to achieve a level of groundwater
protection that is consistent with the regulations proposed under
subsection (a) of this Section.
(d) Following receipt of proposed regulations submitted by the Agency
pursuant to subsection (a) of this Section, the Board shall promulgate
appropriate regulations for new activities. In promulgating these
regulations, the Board shall, in addition to the factors set forth in
Title VII of this Act, consider the following:
(1) appropriate programs for water quality | ||
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(2) design practices and technology-based measures | ||
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(3) reporting, recordkeeping and remedial response | ||
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(4) requirements for closure or discontinuance of | ||
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Such regulations as are promulgated pursuant to this subsection shall be
for the express purpose of protecting groundwaters. The applicability of
such regulations shall be limited to any new activity which is to be
located within a setback zone regulated by this Act, or which is to be
located within a regulated recharge area as delineated by Board regulation.
In addition, the Board shall ensure that the promulgated regulations are
consistent with and not pre-emptive of the certification system provided
by Section 14.5. The
Board shall modify the regulations adopted under this subsection to provide
an exception for new activities subject to Section 14.6.
(e) Nothing in this Section shall be construed as prohibiting any person
for whom regulations are promulgated by the
Board pursuant to subsection (b) or (c) of this Section, from proposing and
obtaining, concurrently with the regulations proposed by the Agency
pursuant to subsection (a) of this Section, a rule specific to individual
persons or sites pursuant to Title VII of this Act which codifies
alternative groundwater protection methods that provide substantially
equivalent protection for community water supplies.
(f) Nothing in this Section shall be construed as limiting the power of
any county or municipality to adopt ordinances, which are consistent with
but not more stringent than the regulations adopted by the Board pursuant
to this Section, for application of standards and requirements
within such setback zones as are provided by this Act.
(g) The Agency shall prepare a groundwater protection regulatory agenda
for submittal to the Interagency Coordinating Committee on Groundwater and
the Groundwater Advisory Council. In preparing this agenda, the Agency
shall consider situations where gaps may exist in federal or State
regulatory protection for groundwater, or where further refinements could
be necessary to achieve adequate protection of groundwater.
(h) Nothing in this Section shall be construed as limiting the general
authority of the Board to promulgate regulations pursuant to Title VII of this
Act.
(i) The Board's rulemaking with respect to subsection (a)(3) of this
Section shall take into account the relevant aspects of the
Department of Agriculture's Part 255 regulations which specify containment
rules for agrichemical facilities.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/14.5) (from Ch. 111 1/2, par. 1014.5)
Sec. 14.5.
(a) The Agency shall administer a certification system for
sites which represent a minimal hazard with respect to contamination of
groundwaters by potential primary or potential secondary sources. No later
than January 1, 1988, the Agency shall develop and
make available a minimal hazard certification form and guidelines for the
use and management of containers and above ground tanks, and for the piling of
waste.
(b) After January 1, 1988, the owner of any site which would otherwise
be subject to the provisions of subsection (d) of Section 14.2 or Section
14.4 and regulations adopted thereunder may provide a certification of
minimal hazard to the Agency if the following conditions are met:
(1) no on-site landfilling, land treating, or surface | ||
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(2) no on-site piles of special or hazardous waste | ||
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(3) no underground storage tanks are present on the | ||
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(4) use and management of containers and above ground | ||
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(5) no on-site release of any hazardous substance or | ||
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(6) no more than 100 gallons of either pesticides or | ||
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(7) notice has been given to the owner of each | ||
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(c) Upon receipt of a certification pursuant to subsection (b) of this
Section the Agency shall, within 90 days, take one of the following actions:
(1) notify the owner of the site in writing that the | ||
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(2) notify the owner of the site in writing that the | ||
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(3) notify the owner of the site in writing that a | ||
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(4) notify in writing the owner of the site that | ||
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A certification is not adequate if it fails to address each of the
conditions required to be met by subsection (b) of this Section, or if the
Agency possesses information which reasonably suggests that any statement
made in the certification is inaccurate or incomplete. Action under item (1)
or (2) of this subsection shall constitute a final determination of the Agency.
(d) When a certification has been provided with respect to which the Agency
has made a
finding of adequacy or has failed to act in a timely manner pursuant to
subsection (c) of this Section, the site shall not be subject to the
provisions of subsection (d) of Section 14.2 or Section 14.4 and
regulations adopted thereunder for the following time periods:
(1) one year, if the Agency has failed to act in a | ||
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(2) three years, if the site is located within a | ||
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(3) five years, if the site is located within a | ||
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(4) 90 days past the time when a change of ownership | ||
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(e) During the effective period of a certification, the owner of the
site shall maintain compliance with the conditions specified in subsection
(b) of this Section. Any failure by the owner to maintain such compliance
shall be just cause for decertification by the Agency. Such action may
only be taken after the Agency has provided the owner with a written notice
which identifies the noncompliance and specifies a 30 day period during
which a written response may be provided by the owner. Such response may
describe any actions taken by the owner which relate to the conditions of
certification. If such response is deficient or untimely, the Agency shall
serve notice upon the owner that the site has been decertified and is
subject to the applicable provisions of subsection (d) of Section 14.2 or
Section 14.4 and regulations adopted thereunder. Such notification shall
constitute a final determination of the Agency.
(f) The Agency shall maintain a master listing, indexed by county, of
those sites for which certifications are in effect. Upon the establishment
of a regional planning committee pursuant to Section 17.2, the Agency shall
provide a copy of the pertinent portions of such listing to such committee
on a quarterly basis.
The Agency shall also make copies of such listing available to units of
local government and the public upon request.
(g) The Agency may enter into a written delegation agreement with any
county or municipality, which has adopted an ordinance consistent with
Section 14.2 or 14.3, to administer the provisions of this Section. Such
delegation agreements shall require that the work to be performed
thereunder shall be in accordance with criteria established by the Agency,
be subject to periodic review by the Agency, and shall include such
financial and program auditing by the Agency as may be necessary.
(Source: P.A. 91-357, eff. 7-29-99.)
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(415 ILCS 5/14.6) (from Ch. 111 1/2, par. 1014.6)
Sec. 14.6.
Agrichemical facilities.
(a) Notwithstanding the provisions of Section 14.4, groundwater
protection for storage and related handling of pesticides and fertilizers
at a facility for the purpose of commercial application or at a central
location for the purpose of distribution to retail sales outlets may be
provided by adherence to the provisions of this Section. For any such
activity to be subject to this Section, the following action must be taken
by an owner or operator:
(1) with respect to agrichemical facilities, as | ||
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(2) with respect to lawn care facilities that are | ||
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(3) with respect to a central distribution location | ||
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(4) with respect to any other affected facility, | ||
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An owner or operator of a facility that takes the action described in
this subsection shall be subject to the provisions of this Section and
shall not be regulated under the provisions of Section 14.4, except as
provided in subsection (d) of this Section. The Department of Agriculture or other
appropriate agency shall provide copies of the written notices and
certifications to the Agency. For the purposes of this subsection, the
term "commercial application" shall not include the use of pesticides or
fertilizers in a manner incidental to the primary business activity.
(b) The Agency and Department of Agriculture shall cooperatively develop
a program for groundwater protection for designated facilities or sites
consistent with the activities specified in subsection (a) of this Section.
In developing such a program, the Agency and the Department of Agriculture
shall consult with affected interests and take into account relevant
information. Based on such agreed program, the Department of Agriculture
shall adopt appropriate regulatory requirements for
the designated facilities or sites and administer a program. At a minimum,
the following considerations must be adequately addressed as part of such
program:
(1) a facility review process, using available | ||
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(2) requirements for groundwater quality monitoring | ||
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(3) reporting, response, and operating practices for | ||
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(4) requirements for closure or discontinuance of | ||
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(c) The Agency may enter into a written agreement with any State agency
to operate a cooperative program for groundwater protection for designated
facilities or sites consistent with the activities specified in
subparagraph (4) of subsection (a) of this Section. Such State agency shall
adopt appropriate regulatory requirements for the designated facilities or
sites and necessary procedures and practices to administer the program.
(d) The Agency shall ensure that any facility that is subject to this
Section is in compliance with applicable provisions as specified in
subsection (b) or (c) of this Section. To fulfill this responsibility, the
Agency may rely on information provided by another State agency or other
information that is obtained on a direct basis. If a facility is not in
compliance with the applicable provisions, or a deficiency in the execution
of a program affects such a facility, the Agency may so notify the
facility of this condition and shall provide 30 days for a written response
to be filed. The response may describe any actions taken by the owner
which relate to the condition of noncompliance. If the response is
deficient or untimely, the Agency shall serve notice upon the owner that
the facility is subject to the applicable provisions of Section 14.4 of
this Act and regulations adopted thereunder.
(e) (Blank.)
(f) After January 1, 1994, and before one year after the date on which a
maximum setback zone is established or a regulated recharge area regulation
is adopted that affects a facility subject to the provisions of this
Section, an owner or operator of such a facility may withdraw the notice
given under subsection (a) of this Section by filing a written withdrawal
statement with the Department of Agriculture. Within 45 days after such
filing and after consultation with the Agency, the Department of
Agriculture shall provide written confirmation to the owner or operator
that the facility is no longer subject to the provisions of this Section and
must comply with the applicable provisions of Section 14.4 within 90 days
after receipt of the confirmation. The Department of Agriculture shall
provide copies of the written confirmations to the Agency.
(g) On or after August 11, 1994, an owner or operator of an agrichemical facility that is subject
to the provisions of Section 14.4 and regulations adopted thereunder solely
because of the presence of an on-site potable water supply well that is not a
non-community water supply may file a written notice with the Department of
Agriculture by January 1, 1995 declaring the facility to be subject to the
provisions of this Section. When that action is taken, the regulatory
requirements of subsection (b) of this Section shall be applicable beginning
January 1, 1995. Beginning on January 1, 1995,
such facilities shall be subject to either Section 14.4 or this Section
depending on the action taken under this subsection. An owner or operator of
an agrichemical facility that is subject to this Section because a written
notice was filed under this subsection shall do all of the following:
(1) File a facility review report with the Department | ||
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(2) Implement an approved monitoring program within | ||
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(3) Implement applicable operational and management | ||
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Notwithstanding the provisions of this subsection, an owner or operator of an
agrichemical facility that is subject to the provisions of Section 14.4 and
regulations adopted thereunder solely because of the presence of an on-site
private potable water supply well may file a written notice with the Department
of Agriculture before January 1, 1995 requesting a release from the provisions
of Section 14.4 and this Section. Upon receipt of a request for release, the
Department of Agriculture shall conduct a site visit to confirm the private
potable use of the on-site well. If private potable use is confirmed, the
Department shall provide written notice to the owner or operator of the
agrichemical facility that the facility is released from compliance with the
provisions of Section 14.4 and this Section. If private potable use is not
confirmed, the Department of Agriculture shall provide written notice to the
owner or operator that a release cannot be given. No action in this subsection
shall be precluded by the on-site non-potable use of water from an on-site
private potable water supply well.
(Source: P.A. 92-113, eff. 7-20-01; 92-574, eff. 6-26-02.)
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(415 ILCS 5/14.7) Sec. 14.7. Preservation of community water supplies. (a) The Agency shall adopt rules governing certain corrosion prevention projects carried out on community water supplies. Those rules shall not apply to buried pipelines including, but not limited to, pipes, mains, and joints. The rules shall exclude routine maintenance activities of community water supplies including, but not limited to, the use of protective coatings applied by the owner's utility personnel during the course of performing routine maintenance activities. Routine maintenance activities shall include, but not be limited to, the painting of fire hydrants; routine over-coat painting of interior and exterior building surfaces such as floors, doors, windows, and ceilings; and routine touch-up and over-coat application of protective coatings typically found on water utility pumps, pipes, tanks, and other water treatment plant appurtenances and utility owned structures. Those rules shall include: (1) standards for ensuring that community water | ||
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(2) requirements that community water supplies use: (A) protective coatings personnel to carry out | ||
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(B) inspectors to ensure that best practices and | ||
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(3) standards to prevent environmental degradation | ||
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In adopting rules under this subsection (a), the Agency
shall obtain input from corrosion industry experts
specializing in the training of personnel to
carry out corrosion prevention and mitigation methods. (b) As used in this Section: "Community water supply" has the meaning ascribed to that
term in Section 3.145 of this Act. "Corrosion" means a naturally occurring phenomenon
commonly defined as the deterioration of a metal that results from a chemical or electrochemical reaction
with its environment. "Corrosion prevention and mitigation methods" means the preparation, application, installation,
removal, or general maintenance as necessary of a
protective coating system, including any or more of the
following: (A) surface preparation and coating application | ||
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(B) shop painting of structural steel fabricated | ||
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"Corrosion prevention project" means carrying out
corrosion prevention and mitigation methods. "Corrosion prevention project" does not include clean-up related to surface preparation. "Protective coatings personnel" means personnel employed or retained by a contractor providing services covered by this Section to carry out corrosion prevention or mitigation methods or inspections. (c) (Blank). (d) Each contract procured pursuant to the Illinois Procurement Code for the provision of services covered by this Section (1) shall comply with applicable provisions of the Illinois Procurement Code and (2) shall include provisions for reporting participation by minority persons, as defined by Section 2 of the Business Enterprise for Minorities, Women, and Persons with Disabilities Act; women, as defined by Section 2 of the Business Enterprise for Minorities, Women, and Persons with Disabilities Act; and veterans, as defined by Section 45-57 of the Illinois Procurement Code, in apprenticeship and training programs in which the contractor or his or her subcontractors participate. The requirements of this Section do not apply to an individual licensed under the Professional Engineering Practice Act of 1989 or the Structural Engineering Act of 1989.
(Source: P.A. 100-391, eff. 8-25-17; 101-226, eff. 6-1-20 .) |
(415 ILCS 5/14.8) (This Section may contain text from a Public Act with a delayed effective date ) Sec. 14.8. Recycled sewage treatment plant effluent reuse. The Agency may propose and the Board shall adopt: (1) amendments to the Board's primary drinking water | ||
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(2) rules establishing programs for direct potable | ||
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(Source: P.A. 103-801, eff. 1-1-25.) |
(415 ILCS 5/15) (from Ch. 111 1/2, par. 1015)
Sec. 15. Plans and specifications; demonstration of capability; record retention.
(a) Owners of public water supplies, their authorized representative, or
legal custodians, shall submit plans and specifications to the Agency and
obtain written approval before construction of any proposed public water
supply installations, changes, or additions is started. Plans and
specifications shall be complete and of sufficient detail to show all
proposed construction, changes, or additions that may affect sanitary
quality, mineral quality, or adequacy of the public water supply; and,
where necessary, said plans and specifications shall be accompanied by
supplemental data as may be required by the Agency to permit a complete
review thereof.
(b) All new public water supplies established after October 1, 1999 shall
demonstrate technical, financial, and managerial capacity as a condition for
issuance of a construction or operation permit by the Agency or its designee.
The demonstration shall be consistent with the technical, financial, and
managerial provisions of the federal Safe Drinking Water Act (P.L. 93-523), as
now or hereafter amended. The Agency is authorized to adopt
rules in accordance with the Illinois Administrative Procedure Act to implement
the purposes of this subsection. Such rules must take into account the need
for the facility, facility size, sophistication of treatment of the water
supply, and financial requirements needed for operation of the facility.
(c) Except as otherwise provided under Board rules, owners and operators of community water systems must maintain all records, reports, and other documents related to the operation of the community water system for a minimum of 10 years. Documents required to be maintained under this subsection (c) include, but are not limited to, all billing records and other documents related to the purchase of water from other community water systems. Documents required to be maintained under this subsection (c) must be maintained on the premises of the community water system, or at a convenient location near its premises, and must be made available to the Agency for inspection and copying during normal business hours. (Source: P.A. 96-603, eff. 8-24-09.)
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(415 ILCS 5/16) (from Ch. 111 1/2, par. 1016)
Sec. 16.
Plans and specifications submitted pursuant to Section 15 of
this Act shall be approved if determined by the Agency to be satisfactory
from the standpoint of sanitary quality, mineral quality, and adequacy of
the water supply.
(Source: P.A. 76-2429.)
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(415 ILCS 5/16.1) (from Ch. 111 1/2, par. 1016.1)
Sec. 16.1.
Permit fees.
(a) Except as provided in
subsection (f), the Agency shall collect a fee in the amount set forth in
subsection (d) from: (1) each applicant for a construction permit under this
Title, or regulations adopted hereunder, to install or extend water main;
and (2) each person who submits as-built plans under this Title, or
regulations adopted hereunder, to install or extend water main.
(b) Except as provided in subsection (c), each applicant or person
required to pay a fee under this Section shall submit the fee to the
Agency along with the permit application or as-built plans. The Agency
shall deny any construction permit application for which a fee is required
under this Section that does not contain the appropriate fee. The Agency
shall not approve any as-built plans for which a fee is required under this
Section that do not contain the appropriate fee.
(c) Each applicant for an emergency construction permit under this
Title, or regulations adopted hereunder, to install or extend a water main
shall submit the appropriate fee to the Agency within 10 calendar days from
the date of issuance of the emergency construction permit.
(d) The amount of the fee is as follows:
(1) $240 if the construction permit application is to | ||
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(2) $720 if the construction permit application is to | ||
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(3) $1200 if the construction permit application is | ||
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(e) Prior to a final Agency decision on a permit application for which a
fee has been paid under this Section, the applicant may propose
modifications to the application in accordance with this Act and
regulations adopted hereunder without any additional fee becoming due
unless the proposed modifications cause the length of water main to
increase beyond the length specified in the permit application before the
modifications. If the modifications cause such an increase and the
increase results in additional fees being due under subsection (d), the
applicant shall submit the additional fee to the Agency with the
proposed modifications.
(f) No fee shall be due under this Section from (1) any department, agency
or unit of State government for installing or extending a water main; (2)
any unit of local government with which the Agency has entered into a
written delegation agreement under Section 4 of this Act which allows such
unit to issue construction permits under this Title, or regulations adopted
hereunder, for installing or extending a water main; or (3) any unit of
local government or school district for installing or extending a water
main where both of the
following conditions are met: (i) the cost of the installation or
extension is paid wholly from monies of the unit of local government or
school district, State
grants or loans, federal grants or loans, or any combination thereof; and
(ii) the unit of local government or school district is not given
monies, reimbursed or paid,
either in whole or in part, by another person (except for State grants or
loans or federal grants or loans) for the installation or extension.
(g) The Agency may establish procedures relating to the collection of
fees under this Section. The Agency shall not refund any fee paid to it
under this Section.
(h) For the purposes of this Section, the term "water main" means any
pipe that is to be used for the purpose of distributing potable water which
serves or is accessible to more than one property, dwelling or rental unit,
and that is exterior to buildings.
(i) Notwithstanding any other provision of this Act, the Agency shall,
not later than 45 days following the receipt of both an application for a
construction permit and the fee required by this Section, either approve
that application and issue a permit or tender to the applicant a written
statement setting forth with specificity the reasons for the disapproval of
the application and denial of a permit. If there is no final action by the
Agency within 45 days after the filing of the application for a permit, the
applicant may deem the permit issued.
(Source: P.A. 93-32, eff. 7-1-03.)
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(415 ILCS 5/17) (from Ch. 111 1/2, par. 1017)
Sec. 17. Rules; chlorination requirements.
(a) The Board may adopt regulations governing the location, design,
construction, and continuous operation and maintenance of public water
supply installations, changes or additions which may affect the continuous
sanitary quality, mineral quality, or adequacy of the public water supply,
pursuant to Title VII of this Act.
(b) The Agency shall exempt from any mandatory chlorination requirement
of the Board any community water supply which meets all of the following
conditions:
(1) The population of the community served is not | ||
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(2) Has as its only source of raw water one or more | ||
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(3) Has no history of persistent or recurring | ||
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(4) Does not provide any raw water treatment other | ||
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(5) Has an active program approved by the Agency to | ||
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(6) Has a certified operator of the proper class, or | ||
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(7) Submits samples for microbiological analysis at | ||
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(8) A unit of local government seeking to exempt its | ||
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Shall the community water supply of ..... (specify YES the unit of local government) be exempt from the mandatory
chlorination requirement NO of the State of Illinois?
If the majority of the voters of the local government voting therein
vote in favor of the proposition, the community water supply of that local
government shall be exempt from the mandatory chlorination requirement,
provided that the other requirements under this subsection (b) are met.
If the majority of the vote is against such proposition, the community water
supply may not be exempt from the mandatory chlorination requirement.
Agency decisions regarding exemptions under this subsection may be appealed
to the Board pursuant to the provisions of Section 40(a) of this Act.
(c) Any supply showing contamination in its distribution system (including
finished water storage) may be required to chlorinate until the Agency has
determined that the source of contamination has been removed and all traces
of contamination in the distribution system have been eliminated. Standby
chlorination equipment may be required by the Agency if a supply otherwise
exempt from chlorination shows frequent or gross episodes of contamination.
(Source: P.A. 98-78, eff. 7-15-13.)
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(415 ILCS 5/17.1) (from Ch. 111 1/2, par. 1017.1)
Sec. 17.1.
(a) Every county or municipality which is served by a
community water supply well may prepare a groundwater protection needs
assessment. The county or municipality shall provide notice to the Agency
regarding the commencement of an assessment. Such assessment shall consist
of the following at a minimum:
(1) Evaluation of the adequacy of protection afforded | ||
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(2) Delineation, to the extent practicable, of the | ||
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(3) Identification and location of potential primary | ||
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(4) Evaluation of the hazard associated with | ||
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(5) Evaluation of the extent to which existing local | ||
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(6) Identification of practicable contingency | ||
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(b) Upon completion of the groundwater protection needs assessment, the
county or municipality shall publish, in a newspaper of general circulation
within the county or municipality, notification of the completion of such
assessment and of the availability of such assessment for public
inspection. At a minimum, such assessment shall be available for
inspection and copying, at cost, by the general public during regular
business hours at the offices of such county or municipality. Information
within the groundwater protection needs assessment which is claimed to be
confidential, privileged or trade secret information shall be accorded
protection by the county or municipality pursuant to the Freedom of
Information Act, as amended. A copy of the assessment shall be filed by
the county or municipality with the Agency and any applicable regional
planning committee within 30 days of completion.
(c) If a county or municipality has not commenced to prepare a
groundwater protection needs assessment for a community water supply which
is investor owned, then said owner may notify the county or municipality in
writing of its intent to prepare such an assessment. The owner may
proceed with the preparation of an assessment unless the county or
municipality, within 30 days of the receipt of the written notice, responds
in writing that an assessment will be undertaken. Upon receipt of such a
written response, the owner shall not proceed for a period of 90 days.
After this period, the owner may proceed to prepare an assessment if the
county or municipality has not commenced such action. The owner shall
provide notice to the Agency regarding the commencement of an assessment.
An assessment which is prepared by such an owner shall be done in
accordance with the provisions of subsection (a) of this Section. Upon
completion of the assessment, the owner shall provide copies of such
assessment to the county or municipality, any applicable regional planning
committee and the Agency within 30 days.
(d) The Agency shall implement a survey program for community water
supply well sites. The survey program shall be organized on a priority
basis so as to efficiently and effectively address areas of protective
need. Each well site survey shall consist of the following at a minimum:
(1) Summary description of the geographic area within | ||
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(2) Topographic or other map of suitable scale of | ||
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(3) A summary listing of each potential source or | ||
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(4) A general geologic profile of the 1,000 foot | ||
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(e) Upon completion of a well site survey, the Agency shall provide the
county or municipality, any applicable regional planning committee and,
where applicable, the owner and operator of the
community water supply well, with a report which summarizes the results of the survey.
(f) Upon receipt of a notice of commencement of a groundwater protection
needs assessment from a county or municipality pursuant to subsection (a),
or from an owner of an investor owned community water supply pursuant to
subsection (c), the Agency may determine that a well site survey is not
necessary for that locale. If the county, municipality or other owner does
not complete the assessment in a timely manner, then the Agency shall
reconsider the need to conduct a survey.
(g) The Agency may issue an advisory of groundwater contamination hazard
to a county or municipality which has not prepared a groundwater protection
needs assessment and for which the Agency has conducted a well site survey.
Such advisory may only be issued where the Agency determines that existing
potential primary sources, potential secondary sources or potential routes
identified in the survey
represent a significant hazard to the public health or the environment.
The Agency shall publish notice of such advisory in a newspaper of general
circulation within the county or municipality and shall furnish a copy of
such advisory to any applicable regional planning committee.
(h) Any county or municipality subject to subsection (a) above, but
having a population of less than 25,000 or 5,000 persons, respectively, may
request, upon receipt of a well site survey report, the Agency to identify
those potential primary sources, potential secondary sources and potential routes which
represent a hazard to the continued availability of groundwaters for public
use, given the susceptibility of the groundwater recharge area to
contamination. Such Agency action may serve in lieu of the groundwater
protection needs assessment specified in subsection (a) of this Section.
The Agency shall also inform any applicable regional planning committee
regarding the findings made pursuant to this subsection.
(i) Upon request, the Agency and the Department of Natural Resources may
provide technical assistance to counties or municipalities in conducting
groundwater protection needs assessments.
(Source: P.A. 89-445, eff. 2-7-96.)
|
(415 ILCS 5/17.2) (from Ch. 111 1/2, par. 1017.2)
Sec. 17.2.
(a) The Agency shall establish a regional groundwater protection
planning program. The Agency, in cooperation with the Department of Natural
Resources, shall designate priority groundwater protection planning regions.
Such designations shall take into account the location of recharge areas that
are identified and mapped by the Department of Natural Resources. Such
designations may not be made until at least 18 months after the effective date
of the Illinois Groundwater Protection Act or until the completion of the
mapping by the Department of Natural Resources, whichever event occurs
first.
(b) The Agency shall establish a regional planning committee for each
priority groundwater protection planning region. Such committee shall be
appointed by the Director and shall include representatives from the Agency
and other State agencies as appropriate, representatives from among the
counties and municipalities in the region, representatives from among the
owners or operators of public water supplies which use groundwater in the
region, and at least 3 members of the general public which have an interest
in groundwater protection. From among the non-State agency members, a
chairperson shall be selected by a majority vote. Members of a regional
planning committee shall serve for a term of 2 years.
(c) Each regional planning committee shall be responsible for the following:
(1) identification of and advocacy for | ||
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(2) monitoring and reporting the progress made within | ||
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(3) maintaining a registry of instances where the | ||
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(4) facilitating informational and educational | ||
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(5) recommending to the Agency whether there is a | ||
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(d) The Agency shall provide the regional planning committee with such
supporting services as are reasonable for the performance of its duties
with the exception of any review proceeding resulting from a decision made
by the Agency pursuant to subsection (b) of Section 17.3.
(Source: P.A. 89-445, eff. 2-7-96.)
|
(415 ILCS 5/17.3) (from Ch. 111 1/2, par. 1017.3)
Sec. 17.3.
(a) The Agency may propose to the Board, pursuant to
Section 28, a regulation establishing the boundary for a regulated recharge
area if any of the following conditions exist:
(1) the Agency has previously issued one or more | ||
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(2) the Agency determines that a completed | ||
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(3) mapping completed by the Department of Natural | ||
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(b) The Agency shall propose to the Board, pursuant to Section 28, a
regulation establishing the boundary for a regulated recharge area if a
regional planning
committee files a petition requesting and justifying such action, unless the
Agency:
(1) determines that an equivalent proposal is already | ||
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(2) provides within 120 days a written explanation of | ||
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Such action shall constitute a final determination of the Agency.
(c) At least 60 days prior to the filing of a proposal to establish the
boundary for a regulated
recharge area, the Agency shall notify in writing each affected
county, municipality, township, soil and water conservation district and
water district, and shall publish a notice of such intended action in a
newspaper of general circulation within the affected area.
(d) In proposing a boundary for a regulated recharge area under this
Section the Agency shall identify each community water supply well for
which protection up to 2500 feet will be provided by operation of the
regulations adopted by the Board under subsection (b) of Section 14.4
relative to existing activities within the proposed regulated recharge area.
(Source: P.A. 89-445, eff. 2-7-96.)
|
(415 ILCS 5/17.4) (from Ch. 111 1/2, par. 1017.4)
Sec. 17.4.
(a) In promulgating a regulation to establish the boundary
for a regulated recharge area, the Board shall, in addition to the factors
set forth in Title VII of this Act, consider the following:
(1) the adequacy of protection afforded to potable resource groundwater by any
applicable setback zones;
(2) applicability of the standards and requirements
promulgated pursuant to Section 14.4;
(3) refinements in the groundwater quality standards which may be
appropriate for the delineated area;
(4) the extent to which the delineated area may serve as a sole source
of supply for public water supplies.
(b) The Board may only promulgate a regulation which establishes the
boundary for a regulated recharge area if the Board makes a determination
that the boundary of the delineated area is drawn so that the natural
geological or geographic features contained therein are shown to be highly
susceptible to contamination over a predominant portion of the recharge area.
(c) Nothing in this Section shall be construed as limiting the general
authority of the Board to promulgate regulations pursuant to Title VII of this Act.
(Source: P.A. 85-863.)
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(415 ILCS 5/17.5) (from Ch. 111 1/2, par. 1017.5)
Sec. 17.5.
In accordance with Section 7.2, the Board shall adopt
regulations which are "identical in substance" to federal regulations or
amendments thereto promulgated by the Administrator of the United States
Environmental Protection Agency to implement Sections 1412(b), 1414(c),
1417(a), and 1445(a) of the Safe Drinking Water Act (P.L. 93-523), as
amended. The provisions and requirements of Title VII of this Act shall
not apply to regulations adopted under this Section. Section 5-35 of
the Illinois Administrative Procedure Act relating to procedures for rulemaking
shall not apply to regulations adopted under this Section. However, the Board
shall provide for notice and public comment before adopted rules are filed with
the Secretary of State. The Board may consolidate into a single rulemaking
under this Section all such federal regulations adopted within a period of time
not to exceed 6 months.
(Source: P.A. 88-45.)
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(415 ILCS 5/17.6)
Sec. 17.6. (Repealed).
(Source: P.A. 87-895. Repealed by P.A. 100-103, eff. 8-11-17.)
|
(415 ILCS 5/17.7) (from Ch. 111 1/2, par. 1017.7)
Sec. 17.7. Community water supply testing fee.
(a) The Agency shall collect an annual nonrefundable testing fee from each
community water supply for participating in the laboratory fee program for
analytical services to determine compliance with contaminant levels specified
in State or federal drinking water regulations. A community water supply may
commit to participation in the laboratory fee program. If the community water
supply makes such a commitment, it shall commit for a period consistent with
the participation requirements established by the Agency and the Community
Water Supply Testing Council (Council). If a community water supply elects not
to participate, it must annually notify the Agency in writing of its decision
not to participate in the laboratory fee program.
(b) The Agency shall determine the fee
for participating in the laboratory fee program for analytical services. The
Agency may establish multi-year
participation requirements for community water supplies and establish fees
accordingly. The Agency shall base its annual fee determination upon the actual
and anticipated costs for testing under State and federal drinking water
regulations and the associated administrative costs of the Agency and the
Council.
(c) Community water supplies that choose not to participate in the
laboratory fee program or do not pay the fees shall have the duty to analyze
all drinking water samples as required by State or federal safe drinking water
regulations established after the federal Safe Drinking Water Act Amendments of
1986.
(d) There is hereby created in the State Treasury an interest-bearing
special fund to be known as the Community Water Supply Laboratory Fund. All
fees collected by the Agency under this Section shall be deposited into this
Fund and shall be used for no other purpose except those established in this
Section. In addition to any monies appropriated from the General Revenue Fund,
monies in the Fund shall be appropriated to the Agency in amounts deemed
necessary for laboratory testing of samples from community water supplies, and
for the associated administrative expenses of the Agency and the Council.
(e) The Agency is authorized to adopt reasonable and necessary rules
for the administration of this Section. The Agency shall submit the
proposed rules for review by the Council before submission of the
rulemaking for the First Notice under Section 5-40 of the Illinois
Administrative Procedure Act.
(f) The Director shall establish a Community Water Supply Testing Council,
consisting of 5 persons who are elected municipal officials, 5 persons
representing community water supplies, one person representing the engineering
profession, one person representing investor-owned utilities, one person
representing the Illinois Association of Environmental Laboratories, and 2
persons
representing municipalities and community water supplies on a statewide basis,
all appointed by the Director. Beginning in 1994, the Director shall appoint
the following to the Council: (i) 2 elected municipal officials, 2 community
water supply representatives, and 1 investor-owned utility representative, each
for a one-year term; (ii) 2 elected municipal officials and 2 community water
supply representatives, each for a 2 year term; and (iii) one elected
municipal official, one community water supply representative, one person
representing the engineering profession, and 2 persons representing
municipalities and community water supplies on a statewide basis, each for
a 3 year term.
As soon as possible after the effective date of this amendatory Act of the
92nd General Assembly, the Director shall appoint one
person representing the Illinois Association of
Environmental Laboratories to a term of 3 years.
Thereafter, the Director shall appoint successors in
each position to 3 year terms. In case of a vacancy, the Director may
appoint a successor to fill the remaining term of the vacancy. Members of
the Council shall serve until a successor is appointed by the Director.
The Council shall select from its members a chairperson and such other officers
as it deems necessary. The Council shall meet at the call of the Director or the Chairperson of the Council. The Agency shall provide the Council with such supporting services as
the Director and the Chairperson may designate, and members shall be reimbursed
for ordinary and necessary expenses incurred in the performance of their
duties. The Council shall have the following duties:
(1) to hold regular and special meetings at a time | ||
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(2) to consider appropriate means for long-term | ||
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(3) to review and evaluate the financial implications | ||
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(4) to review and evaluate management and financial | ||
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(5) to require an external audit as may be deemed | ||
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(6) to conduct such other activities as may be deemed | ||
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(Source: P.A. 97-220, eff. 7-28-11.)
|
(415 ILCS 5/17.8)
Sec. 17.8. Environmental laboratory certification assessment.
(a) The Agency shall collect an annual
administrative assessment from each laboratory requesting
certification
for meeting the minimum standards established under the authority of subsection
(n) of Section 4. The Agency also shall collect an annual
certification assessment for
each certification requested,
as listed below.
Until the Agency and the Environmental Laboratory Certification Committee
establish administrative and
certification assessment schedules in accordance with the procedures of
subsections (c) and (d-5) of this Section,
the following assessment schedules shall remain in effect:
(1) For certification to conduct public water supply | ||
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(A) $1,000 per year for inorganic parameters; and
(B) $1,000 per year for organic parameters.
(2) For certification to conduct water pollution | ||
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(A) $1,000 per year for inorganic parameters; and
(B) $1,000 per year for organic parameters.
(3) For certification to conduct analyses of solid or | ||
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(A) $1,000 per year for inorganic parameters; and
(B) $1,000 per year for organic parameters.
(4) An administrative assessment of $2,400 per year | ||
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(b) Until the Agency and the
Environmental Laboratory Certification
Committee establish administrative and certification assessment schedules in
accordance with the procedures of
subsections (c) and (d-5) of this Section, the following payment schedules
shall remain in effect. The administrative and certification assessments shall be paid at the
time the laboratory
submits an application for certification or renewal of
certification. Assessments paid under this
Section may not be
refunded.
(c) The Agency may establish procedures relating to the
certification of
laboratories, analyses of samples, development of alternative assessment
schedules,
assessment schedule
dispute resolution, and collection of assessments. No
assessment for the certification of environmental laboratories shall be due
under this Section from any department, agency, or unit of State
government. No assessments
shall be due from any municipal
government for certification to conduct public water supply
analyses. The Agency's
cost for certification of laboratories that are exempt from the
assessment shall be excluded from the calculation of the alternative assessment
schedules.
(d) All moneys collected by the Agency under this Section shall be deposited
into the Environmental Laboratory Certification Fund, a special fund hereby
created in the State treasury. Subject to appropriation, the Agency shall use
the moneys in the Fund to pay expenses incurred in the administration of
laboratory certification duties. All interest or other income earned from the
investment of the moneys in the Fund shall be deposited into the Fund.
(d-5) The Agency, with the concurrence with the Environmental Laboratory
Certification Committee, shall
determine the assessment schedules for participation in the environmental
laboratory certification program. The
Agency, with the concurrence of the Committee, shall base the assessment
schedules upon actual and
anticipated costs for certification under State and federal programs and the
associated costs of the Agency and
Committee.
If the Committee concurs with the Agency's assessment schedule determination,
it shall thereupon take effect.
(e) The Director shall establish an Environmental Laboratory
Certification Committee consisting of (i) one person representing accredited
county or municipal public water supply laboratories, (ii) one person
representing the Metropolitan Water Reclamation District of Greater Chicago,
(iii) one person representing accredited sanitary district or waste water
treatment plant laboratories, (iv) 3 persons representing accredited
environmental commercial laboratories duly incorporated in the State of
Illinois and employing 20 or more people, (v) 2 persons representing accredited
environmental commercial laboratories duly incorporated in the State of
Illinois employing less than 20 people, and (vi) one person representing the
Illinois Association of Environmental Laboratories, all appointed by the
Director. If no accredited laboratories are available to fill one of the
categories
under item (iv) or (v)
then any laboratory that has applied for accreditation may be
eligible to fill that position. Beginning in 2002, the Director shall appoint
3 members of the Committee for a one-year term, 3 members of the Committee for
2-year terms, and 3 members of the Committee for 3-year terms.
Thereafter, all terms shall be for 3 years, provided that all appointments made on or before December 31, 2012 shall end on December 31, 2012. Beginning on January 1, 2013, the Director shall appoint all members of the Committee for 6-year terms.
In the case of a
vacancy, the Director
may appoint a successor to fill the remaining term of the vacancy. Members of
the Committee shall serve until a successor is appointed by the Director. No
member of the Committee shall serve more than 6 consecutive years. The
Committee shall select from its members a Chairperson and any other officers
that it deems necessary. The Committee shall meet at the call of the Chairperson or the Director. The Agency shall provide the Committee with any supporting services
that the Director and the Chairperson may designate. Members of the Committee
shall be reimbursed for ordinary and necessary expenses incurred in the
performance of their duties. The Committee shall have the following duties:
(1) To consider any alternative assessment schedules | ||
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(2) To review and evaluate the financial implications | ||
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(3) To review and evaluate management and financial | ||
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(4) To consider appropriate means for long-term | ||
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(5) To provide technical review and evaluation of the | ||
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(6) To hold meetings at times and places designated | ||
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(7) To conduct any other activities as may be deemed | ||
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(Source: P.A. 97-1081, eff. 8-24-12.)
|
(415 ILCS 5/17.9)
Sec. 17.9. (Repealed).
(Source: P.A. 96-369, eff. 8-13-09. Repealed internally, eff. 7-1-11) |
(415 ILCS 5/17.9A) Sec. 17.9A. Collection, storage, and transportation of pharmaceuticals by law enforcement agencies. (a) Notwithstanding any other provision of this Act, to the extent allowed by federal law, a law enforcement agency may collect pharmaceuticals, including but not limited to controlled substances, from residential sources, store them, and transport them to a site or facility permitted by the Agency. (b) Pharmaceuticals that have been transported to a permitted site or facility by a law enforcement agency under subsection (a) of this Section must be managed in accordance with this Act, rules adopted under this Act, and permits issued under this Act. If those pharmaceuticals are controlled substances, they must also be managed in accordance with federal and State laws and regulations governing controlled substances. (c) For the purposes of this Section, "law enforcement agency" means an agency of the State or of a unit of local of government which is vested by law or ordinance with the duty to maintain public order and to enforce criminal laws.
(Source: P.A. 97-545, eff. 1-1-12; 98-857, eff. 8-4-14.) |
(415 ILCS 5/17.10) Sec. 17.10. Carcinogenic volatile organic compounds in community water systems. (a)(1) Findings. The General Assembly finds that carcinogenic volatile organic compounds have been detected in a number of community water systems in this State. The General Assembly further finds that it is in the best interest of the people of the State of Illinois to require owners and operators of community water systems to remove carcinogenic volatile organic compounds from finished water before their maximum contaminant levels are exceeded. (2) Purpose. The purpose of this Section is to prevent carcinogenic volatile organic compounds from exceeding their maximum contaminant levels in the finished water of community water systems by requiring owners and operators of community water systems to take appropriate action when carcinogenic volatile organic compounds are detected in finished water. (b) For purposes of this Section: (1) "Carcinogen" means carcinogen as defined in | ||
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(2) "Community water system", "finished water", | ||
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(c) If a carcinogenic volatile organic compound is detected in the finished water of a community water system at a concentration that equals or exceeds 50 percent of the carcinogenic volatile organic compound's maximum contaminant level and the Agency issues a notice under subdivision (a)(2)(B) of Section 25d-3 of this Act based on the presence of the carcinogenic volatile organic compound, the owner or operator of the community water system shall, within 45 days after the date the Agency issues the notice under subdivision (a)(2)(B) of Section 25d-3 of this Act, submit to the Agency a response plan designed to (i) prevent an exceedence of the maximum contaminant level in the finished water and (ii) reduce the concentration of the carcinogenic volatile organic compound so that it does not exceed the applicable method detection limit in the finished water. The response plan shall also include periodic sampling designed to measure and verify the effectiveness of the response plan. (1) Upon Agency approval of the plan, with or without | ||
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(2) Any action by the Agency to disapprove or modify | ||
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(d)(1) No person required to submit a response plan under subsection (c) of this Section shall fail to submit the plan in accordance with the requirements of subsection (c). (2) No person required to implement a response plan under subdivision (c)(1) of this Section shall fail to implement the plan in accordance with the requirements of subdivision (c)(1). (3) No person required to submit a status report or a response completion report under subdivision (c)(1) of this Section shall fail to submit the report in accordance with the requirements of subdivision (c)(1).
(Source: P.A. 96-1366, eff. 7-28-10 .) |
(415 ILCS 5/17.11) Sec. 17.11. (Repealed).
(Source: P.A. 99-922, eff. 1-17-17. Repealed by P.A. 102-613, eff. 1-1-22.) |
(415 ILCS 5/17.12) Sec. 17.12. Lead service line replacement and notification. (a) The purpose of this Act is to: (1) require the owners and operators of community water supplies to develop, implement, and maintain a comprehensive water service line material inventory and a comprehensive lead service line replacement plan, provide notice to occupants of potentially affected buildings before any construction or repair work on water mains or lead service lines, and request access to potentially affected buildings before replacing lead service lines; and (2) prohibit partial lead service line replacements, except as authorized within this Section. (b) The General Assembly finds and declares that: (1) There is no safe level of exposure to heavy metal | ||
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(2) Lead service lines can convey this harmful | ||
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(3) According to the Illinois Environmental | ||
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(4) The true number of lead service lines is not | ||
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(5) For the general health, safety, and welfare of | ||
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(c) In this Section: "Advisory Board" means the Lead Service Line Replacement Advisory Board created under subsection (x). "Community water supply" has the meaning ascribed to it in Section 3.145 of this Act. "Department" means the Department of Public Health. "Emergency repair" means any unscheduled water main, water service, or water valve repair or replacement that results from failure or accident. "Fund" means the Lead Service Line Replacement Fund created under subsection (bb). "Lead service line" means a service line made of lead or service line connected to a lead pigtail, lead gooseneck, or other lead fitting. "Material inventory" means a water service line material inventory developed by a community water supply under this Act. "Non-community water supply" has the meaning ascribed to it in Section 3.145 of the Environmental Protection Act. "NSF/ANSI Standard" means a water treatment standard developed by NSF International. "Partial lead service line replacement" means replacement of only a portion of a lead service line. "Potentially affected building" means any building that is provided water service through a service line that is either a lead service line or a suspected lead service line. "Public water supply" has the meaning ascribed to it in Section 3.365 of this Act. "Service line" means the piping, tubing, and necessary appurtenances acting as a conduit from the water main or source of potable water supply to the building plumbing at the first shut-off valve or 18 inches inside the building, whichever is shorter. "Suspected lead service line" means a service line that a community water supply finds more likely than not to be made of lead after completing the requirements under paragraphs (2) through (5) of subsection (h). "Small system" means a community water supply that regularly serves water to 3,300 or fewer persons. (d) An owner or operator of a community water supply shall: (1) develop an initial material inventory by April | ||
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(2) deliver a complete material inventory to the | ||
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(e) The Agency shall review and approve the final material inventory submitted to it under subsection (d). (f) If a community water supply does not submit a complete inventory to the Agency by April 15, 2024 under paragraph (2) of subsection (d), the community water supply may apply for an extension to the Agency no less than 3 months prior to the due date. The Agency shall develop criteria for granting material inventory extensions. When considering requests for extension, the Agency shall, at a minimum, consider: (1) the number of service connections in a water | ||
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(2) the number of service lines of an unknown | ||
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(g) A material inventory prepared for a community water supply under subsection (d) shall identify: (1) the total number of service lines connected to | ||
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(2) the materials of construction of each service | ||
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(3) the number of suspected lead service lines that | ||
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(4) the number of suspected or known lead service | ||
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When identifying the materials of construction under paragraph (2) of this subsection, the owner or operator of the community water supply shall to the best of the owner's or operator's ability identify the type of construction material used on the customer's side of the curb box, meter, or other line of demarcation and the community water supply's side of the curb box, meter, or other line of demarcation. (h) In completing a material inventory under subsection (d), the owner or operator of a community water supply shall: (1) prioritize inspections of high-risk areas | ||
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(2) review historical documentation, such as | ||
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(3) when conducting distribution system maintenance, | ||
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(4) identify any time period when the service lines | ||
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(5) discuss service line repair and installation with | ||
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(i) The owner or operator of each community water supply shall maintain records of persons who refuse to grant access to the interior of a building for purposes of identifying the materials of construction of a service line. If a community water supply has been denied access on the property or to the interior of a building for that reason, then the community water supply shall attempt to identify the service line as a suspected lead service line, unless documentation is provided showing otherwise. (j) If a community water supply identifies a lead service line connected to a building, the owner or operator of the community water supply shall attempt to notify the owner of the building and all occupants of the building of the existence of the lead service line within 15 days after identifying the lead service line, or as soon as is reasonably possible thereafter. Individual written notice shall be given according to the provisions of subsection (jj). (k) An owner or operator of a community water supply has no duty to include in the material inventory required under subsection (d) information about service lines that are physically disconnected from a water main in its distribution system. (l) The owner or operator of each community water supply shall post on its website a copy of the most recently submitted material inventory or alternatively may request that the Agency post a copy of that material inventory on the Agency's website. (m) Nothing in this Section shall be construed to require service lines to be unearthed for the sole purpose of inventorying. (n) When an owner or operator of a community water supply awards a contract under this Section, the owner or operator shall make a good faith effort to use contractors and vendors owned by minority persons, women, and persons with a disability, as those terms are defined in Section 2 of the Business Enterprise for Minorities, Women, and Persons with Disabilities Act, for not less than 20% of the total contracts, provided that: (1) contracts representing at least 11% of the total | ||
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(2) contracts representing at least 7% of the total | ||
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(3) contracts representing at least 2% of the total | ||
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Owners or operators of a community water supply are encouraged to divide projects, whenever economically feasible, into contracts of smaller size that ensure small business contractors or vendors shall have the ability to qualify in the applicable bidding process, when determining the ability to deliver on a given contract based on scope and size, as a responsible and responsive bidder. When a contractor or vendor submits a bid or letter of intent in response to a request for proposal or other bid submission, the contractor or vendor shall include with its responsive documents a utilization plan that shall address how compliance with applicable good faith requirements set forth in this subsection shall be addressed. Under this subsection, "good faith effort" means a community water supply has taken all necessary steps to comply with the goals of this subsection by complying with the following: (1) Soliciting through reasonable and available means | ||
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(2) Providing interested certified businesses with | ||
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(3) Meeting in good faith with interested certified | ||
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(4) Effectively using the services of the State, | ||
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(5) Making efforts to use appropriate forums for | ||
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The diversity goals defined in this subsection can be met through direct award to diverse contractors and through the use of diverse subcontractors and diverse vendors to contracts. (o) An owner or operator of a community water supply shall collect data necessary to ensure compliance with subsection (n) no less than semi-annually and shall include progress toward compliance of subsection (n) in the owner or operator's report required under subsection (t-5). The report must include data on vendor and employee diversity, including data on the owner's or operator's implementation of subsection (n). (p) Every owner or operator of a community water supply that has known or suspected lead service lines shall: (1) create a plan to: (A) replace each lead service line connected to | ||
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(B) replace each galvanized service line | ||
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(2) electronically submit, by April 15, 2024 its | ||
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(3) electronically submit by April 15 of each year | ||
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(4) electronically submit by April 15, 2027 a | ||
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(5) post on its website a copy of the plan most | ||
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(q) Each plan required under paragraph (1) of subsection (p) shall include the following: (1) the name and identification number of the | ||
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(2) the total number of service lines connected to | ||
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(3) the total number of suspected lead service lines | ||
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(4) the total number of known lead service lines | ||
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(5) the total number of lead service lines connected | ||
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(6) a proposed lead service line replacement schedule | ||
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(7) an analysis of costs and financing options for | ||
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(A) a detailed accounting of costs associated | ||
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(B) measures to address affordability and prevent | ||
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(C) consideration of different scenarios for | ||
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(8) a plan for prioritizing high-risk facilities, | ||
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(9) a map of the areas where lead service lines are | ||
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(10) measures for how the community water supply will | ||
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(11) measures to encourage diversity in hiring in the | ||
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(r) The Agency shall review final plans submitted to it under subsection (p). The Agency shall approve a final plan if the final plan includes all of the elements set forth under subsection (q) and the Agency determines that: (1) the proposed lead service line replacement | ||
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(2) the plan prioritizes the replacement of lead | ||
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(3) the plan includes analysis of cost and financing | ||
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(4) the plan provides documentation of public review. (s) An owner or operator of a community water supply has no duty to include in the plans required under subsection (p) information about service lines that are physically disconnected from a water main in its distribution system. (t) If a community water supply does not deliver a complete plan to the Agency by April 15, 2027, the community water supply may apply to the Agency for an extension no less than 3 months prior to the due date. The Agency shall develop criteria for granting plan extensions. When considering requests for extension, the Agency shall, at a minimum, consider: (1) the number of service connections in a water | ||
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(2) the number of service lines of an unknown | ||
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(t-5) After the Agency has approved the final replacement plan described in subsection (p), the owner or operator of a community water supply shall submit a report detailing progress toward plan goals to the Agency for its review. The report shall be submitted annually for the first 10 years, and every 3 years thereafter until all lead service lines have been replaced. Reports under this subsection shall be published in the same manner described in subsection (l). The report shall include at least the following information as it pertains to the preceding reporting period: (1) The number of lead service lines replaced and the | ||
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(2) Progress toward meeting hiring requirements as | ||
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(3) The percent of customers electing a waiver | ||
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(4) The method or methods used by the community water | ||
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(u) Notwithstanding any other provision of law, in order to provide for costs associated with lead service line remediation and replacement, the corporate authorities of a municipality may, by ordinance or resolution by the corporate authorities, exercise authority provided in Section 27-5 et seq. of the Property Tax Code and Sections 8-3-1, 8-11-1, 8-11-5, 8-11-6, 9-1-1 et seq., 9-3-1 et seq., 9-4-1 et seq., 11-131-1, and 11-150-1 of the Illinois Municipal Code. Taxes levied for this purpose shall be in addition to taxes for general purposes authorized under Section 8-3-1 of the Illinois Municipal Code and shall be included in the taxing district's aggregate extension for the purposes of Division 5 of Article 18 of the Property Tax Code. (v) Every owner or operator of a community water supply shall replace all known lead service lines, subject to the requirements of subsection (ff), according to the following replacement rates and timelines to be calculated from the date of submission of the final replacement plan to the Agency: (1) A community water supply reporting 1,200 or fewer | ||
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(2) A community water supply reporting more than | ||
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(3) A community water supply reporting more than | ||
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(4) A community water supply reporting more than | ||
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(5) A community water supply reporting more than | ||
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(w) A community water supply may apply to the Agency for an extension to the replacement timelines described in paragraphs (1) through (5) of subsection (v). The Agency shall develop criteria for granting replacement timeline extensions. When considering requests for timeline extensions, the Agency shall, at a minimum, consider: (1) the number of service connections in a water | ||
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(2) unusual circumstances creating hardship for a | ||
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The Agency may grant one extension of additional time equal to not more than 20% of the original replacement timeline, except in situations of extreme hardship in which the Agency may consider a second additional extension equal to not more than 10% of the original replacement timeline. Replacement rates and timelines shall be calculated from the date of submission of the final plan to the Agency. (x) The Lead Service Line Replacement Advisory Board is created within the Agency. The Advisory Board shall convene within 120 days after January 1, 2022 (the effective date of Public Act 102-613). The Advisory Board shall consist of at least 28 voting members, as follows: (1) the Director of the Agency, or his or her | ||
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(2) the Director of Revenue, or his or her designee; (3) the Director of Public Health, or his or her | ||
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(4) fifteen members appointed by the Agency as | ||
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(A) one member representing a statewide | ||
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(B) two members who are mayors representing | ||
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(C) two members who are representatives from | ||
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(D) two members who are representatives from | ||
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(E) one member who is a representative from a | ||
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(F) one member who is a research professional | ||
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(G) two members who are representatives from | ||
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(H) one member who is a representative from a | ||
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(I) two members who are representatives from | ||
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(J) one member representing an environmental | ||
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(5) ten members who are the mayors of the 10 largest | ||
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No less than 10 of the 28 voting members shall be persons of color, and no less than 3 shall represent communities defined or self-identified as environmental justice communities. Advisory Board members shall serve without compensation, but may be reimbursed for necessary expenses incurred in the performance of their duties from funds appropriated for that purpose. The Agency shall provide administrative support to the Advisory Board. The Advisory Board shall meet no less than once every 6 months. (y) The Advisory Board shall have, at a minimum, the following duties: (1) advising the Agency on best practices in lead | ||
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(2) reviewing the progress of community water | ||
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(3) advising the Agency on other matters related to | ||
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(4) advising the Agency on the integration of | ||
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(5) providing technical support and practical | ||
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(z) Within 18 months after January 1, 2022 (the effective date of Public Act 102-613), the Advisory Board shall deliver a report of its recommendations to the Governor and the General Assembly concerning opportunities for dedicated, long-term revenue options for funding lead service line replacement. In submitting recommendations, the Advisory Board shall consider, at a minimum, the following: (1) the sufficiency of various revenue sources to | ||
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(2) the financial burden, if any, on households | ||
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(3) revenue options that guarantee low-income | ||
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(4) an assessment of the ability of community water | ||
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(5) variations in financial resources among | ||
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(6) the protection of low-income households from rate | ||
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(aa) Within 10 years after January 1, 2022 (the effective date of Public Act 102-613), the Advisory Board shall prepare and deliver a report to the Governor and General Assembly concerning the status of all lead service line replacement within the State. (bb) The Lead Service Line Replacement Fund is created as a special fund in the State treasury to be used by the Agency for the purposes provided under this Section. The Fund shall be used exclusively to finance and administer programs and activities specified under this Section and listed under this subsection. The objective of the Fund is to finance activities associated with identifying and replacing lead service lines, build Agency capacity to oversee the provisions of this Section, and provide related assistance for the activities listed under this subsection. The Agency shall be responsible for the administration of the Fund and shall allocate moneys on the basis of priorities established by the Agency through administrative rule. On July 1, 2022 and on July 1 of each year thereafter, the Agency shall determine the available amount of resources in the Fund that can be allocated to the activities identified under this Section and shall allocate the moneys accordingly. Notwithstanding any other law to the contrary, the Lead Service Line Replacement Fund is not subject to sweeps, administrative charge-backs, or any other fiscal maneuver that would in any way transfer any amounts from the Lead Service Line Replacement Fund into any other fund of the State. (cc) Within one year after January 1, 2022 (the effective date of Public Act 102-613), the Agency shall design rules for a program for the purpose of administering lead service line replacement funds. The rules must, at minimum, contain: (1) the process by which community water supplies may | ||
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(2) the criteria for determining unit of local | ||
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(dd) Funding under subsection (cc) shall be available for costs directly attributable to the planning, design, or construction directly related to the replacement of lead service lines and restoration of property. Funding shall not be used for the general operating expenses of a municipality or community water supply. (ee) An owner or operator of any community water supply receiving grant funding under subsection (cc) shall bear the entire expense of full lead service line replacement for all lead service lines in the scope of the grant. (ff) When replacing a lead service line, the owner or operator of the community water supply shall replace the service line in its entirety, including, but not limited to, any portion of the service line (i) running on private property and (ii) within the building's plumbing at the first shut-off valve. Partial lead service line replacements are expressly prohibited. Exceptions shall be made under the following circumstances: (1) In the event of an emergency repair that affects | ||
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(A) Notify the building's owner or operator and | ||
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(i) a warning that the work may result in | ||
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(ii) information concerning practices for | ||
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(iii) information regarding the dangers of | ||
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(B) Provide filters for at least one fixture | ||
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(C) Replace the remaining portion of the lead | ||
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(i) an explanation of why it is not feasible | ||
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(ii) a timeline for when the remaining | ||
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(D) If complete repair of a lead service line | ||
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(E) Document any remaining lead service line, | ||
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For the purposes of this paragraph (1), written | ||
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(2) Lead service lines that are physically | ||
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(gg) Except as provided in subsection (hh), on and after January 1, 2022, when the owner or operator of a community water supply replaces a water main, the community water supply shall identify all lead service lines connected to the water main and shall replace the lead service lines by: (1) identifying the material or materials of each | ||
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(2) in conjunction with replacement of the water | ||
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(3) if a property owner or customer refuses to grant | ||
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If an owner of a potentially affected building intends to replace a portion of a lead service line or a galvanized service line and the galvanized service line is or was connected downstream to lead piping, then the owner of the potentially affected building shall provide the owner or operator of the community water supply with notice at least 45 days before commencing the work. In the case of an emergency repair, the owner of the potentially affected building must provide filters for each kitchen area that are certified by an accredited third-party certification body to NSF/ANSI 53 and NSF/ANSI 42 for the reduction of lead and particulate. If the owner of the potentially affected building notifies the owner or operator of the community water supply that replacement of a portion of the lead service line after the emergency repair is completed, then the owner or operator of the community water supply shall replace the remainder of the lead service line within 30 days after completion of the emergency repair. A community water supply may take up to 120 days if necessary due to weather conditions. If a replacement takes longer than 30 days, filters provided by the owner of the potentially affected building must be replaced in accordance with the manufacturer's recommendations. Partial lead service line replacements by the owners of potentially affected buildings are otherwise prohibited. (hh) For municipalities with a population in excess of 1,000,000 inhabitants, the requirements of subsection (gg) shall commence on January 1, 2023. (ii) At least 45 days before conducting planned lead service line replacement, the owner or operator of a community water supply shall, by mail, attempt to contact the owner of the potentially affected building serviced by the lead service line to request access to the building and permission to replace the lead service line in accordance with the lead service line replacement plan. If the owner of the potentially affected building does not respond to the request within 15 days after the request is sent, the owner or operator of the community water supply shall attempt to post the request on the entrance of the potentially affected building. If the owner or operator of a community water supply is unable to obtain approval to access and replace a lead service line, the owner or operator of the community water supply shall request that the owner of the potentially affected building sign a waiver. The waiver shall be developed by the Department and should be made available in the owner's language. If the owner of the potentially affected building refuses to sign the waiver or fails to respond to the community water supply after the community water supply has complied with this subsection, then the community water supply shall notify the Department in writing within 15 working days. (jj) When replacing a lead service line or repairing or replacing water mains with lead service lines or partial lead service lines attached to them, the owner or operator of a community water supply shall provide the owner of each potentially affected building that is serviced by the affected lead service lines or partial lead service lines, as well as the occupants of those buildings, with an individual written notice. The notice shall be delivered by mail or posted at the primary entranceway of the building. The notice must, in addition, be electronically mailed where an electronic mailing address is known or can be reasonably obtained. Written notice shall include, at a minimum, the following: (1) a warning that the work may result in sediment, | ||
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(2) information concerning the best practices for | ||
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(3) information regarding the dangers of lead | ||
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When the individual written notice described in the first paragraph of this subsection is required as a result of planned work other than the repair or replacement of a water meter, the owner or operator of the community water supply shall provide the notice not less than 14 days before work begins. When the individual written notice described in the first paragraph of this subsection is required as a result of emergency repairs other than the repair or replacement of a water meter, the owner or operator of the community water supply shall provide the notice at the time the work is initiated. When the individual written notice described in the first paragraph of this subsection is required as a result of the repair or replacement of a water meter, the owner or operator of the community water supply shall provide the notice at the time the work is initiated. The notifications required under this subsection must contain the following statement in Spanish, Polish, Chinese, Tagalog, Arabic, Korean, German, Urdu, and Gujarati: "This notice contains important information about your water service and may affect your rights. We encourage you to have this notice translated in full into a language you understand and before you make any decisions that may be required under this notice." An owner or operator of a community water supply that is required under this subsection to provide an individual written notice to the owner and occupant of a potentially affected building that is a multi-dwelling building may satisfy that requirement and the requirements of this subsection regarding notification to non-English speaking customers by posting the required notice on the primary entranceway of the building and at the location where the occupant's mail is delivered as reasonably as possible. When this subsection would require the owner or operator of a community water supply to provide an individual written notice to the entire community served by the community water supply or would require the owner or operator of a community water supply to provide individual written notices as a result of emergency repairs or when the community water supply that is required to comply with this subsection is a small system, the owner or operator of the community water supply may provide the required notice through local media outlets, social media, or other similar means in lieu of providing the individual written notices otherwise required under this subsection. No notifications are required under this subsection for work performed on water mains that are used to transmit treated water between community water supplies and properties that have no service connections. (kk) No community water supply that sells water to any wholesale or retail consecutive community water supply may pass on any costs associated with compliance with this Section to consecutive systems. (ll) To the extent allowed by law, when a community water supply replaces or installs a lead service line in a public right-of-way or enters into an agreement with a private contractor for replacement or installation of a lead service line, the community water supply shall be held harmless for all damage to property when replacing or installing the lead service line. If dangers are encountered that prevent the replacement of the lead service line, the community water supply shall notify the Department within 15 working days of why the replacement of the lead service line could not be accomplished. (mm) The Agency may propose to the Board, and the Board may adopt, any rules necessary to implement and administer this Section. The Department may adopt rules necessary to address lead service lines attached to non-community water supplies. (nn) Notwithstanding any other provision in this Section, no requirement in this Section shall be construed as being less stringent than existing applicable federal requirements. (oo) All lead service line replacements financed in whole or in part with funds obtained under this Section shall be considered public works for purposes of the Prevailing Wage Act. (pp) Beginning in 2023, each municipality with a population of more than 1,000,000 inhabitants shall publicly post on its website data describing progress the municipality has made toward replacing lead service lines within the municipality. The data required to be posted under this subsection shall be the same information required to be reported under paragraphs (1) through (4) of subsection (t-5) of this Section. Beginning in 2024, each municipality that is subject to this subsection shall annually update the data posted on its website under this subsection. A municipality's duty to post data under this subsection terminates only when all lead service lines within the municipality have been replaced. Nothing in this subsection (pp) shall be construed to replace, undermine, conflict with, or otherwise amend the responsibilities and requirements set forth in subsection (t-5) of this Section. (Source: P.A. 102-613, eff. 1-1-22; 102-813, eff. 5-13-22; 103-167, eff. 6-30-23; 103-605, eff. 7-1-24.) |
(415 ILCS 5/18) (from Ch. 111 1/2, par. 1018)
Sec. 18.
Prohibitions; plugging requirements.
(a) No person shall:
(1) Knowingly cause, threaten or allow the | ||
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(2) Violate regulations or standards adopted by the | ||
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(3) Construct, install or operate any public water | ||
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(b) Borings, water monitoring wells, and wells subject to this Act
shall, at a minimum, be abandoned and plugged in accordance with the
requirements of Sections 16 and 19 of "An Act in relation to oil, gas, coal
and other surface and underground resources and to repeal an Act herein
named", filed July 29, 1941, as amended, and such rules as are promulgated
thereunder. Nothing herein shall preclude the Board from adopting plugging
and abandonment requirements which are more stringent than the rules of the
Department of Natural Resources where necessary to
protect the public health and environment.
(Source: P.A. 89-445, eff. 2-7-96; 90-773, eff. 8-14-98.)
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(415 ILCS 5/18.1)
Sec. 18.1. Public Notice. (a) If any of the actions listed in paragraph (1) or (2) of this subsection (a) occur in relation to the ownership or operation of a community water system, the Agency shall, within 2 days after the action, provide public notice of the action by issuing a press release and posting the press release on the Agency's website: (1) The Agency refers a matter for enforcement under | ||
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(2) The Agency issues a seal order under subsection | ||
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(b) Within 5 days after the occurrence of any action that is listed in paragraph (1) or (2) of subsection (a) of this Section and that is related to the ownership or operation of a community water system, the Agency must provide notice of the action to the owner and the operator of the community water system and the owners and operators of all connected community water systems. The notice must be printed on Agency letterhead and describe the action being taken and the basis for the action. Within 5 business days after receiving such notice from the Agency under this subsection (b), the owner or operator of the community water system and the owners or operators of all connected community water systems must send, to all residents and owners of premises connected to the affected community water system or portion thereof designated by the Agency: (i) a copy of the notice by first-class mail or by e-mail; or (ii) notification, in a form approved by the Agency, via first-class postcard, text message, or telephone; except that notices to institutional residents, including, but not limited to, residents of school dormitories, nursing homes, and assisted care facilities, may be made to the owners and operators of those institutions, and the owners or operators of those institutions shall notify their residents in the same manner as prescribed in this subsection for owners and operators of community water systems. If the manner for notice selected by the owner or operator of the community water system does not include a written copy of the notice provided by the Agency, the owner or operator shall include a written copy of the notice provided by the Agency in the next water bill sent to the residents and owners of the premises; provided, however, if the water bill is sent on a postcard, no written copy of the notice provided by the Agency is required if the postcard includes the Internet address for the notice posted on the Agency's website. The front of the envelope or postcard in which any such notice is sent to residents and owners of premises connected to the community water system shall carry the following text in at least 18 point font: PUBLIC HEALTH NOTICE - READ IMMEDIATELY. For a postcard, text message, or telephonic communication, the Agency shall specify the minimum information that the owner or operator must include in such methods of notice. Within 7 days after the owner or operator of the community water system sends the notices to all residents and owners of premises connected to the affected community water system, the owner or operator shall provide the Agency with proof that the notices have been sent.
(Source: P.A. 96-603, eff. 8-24-09.) |
(415 ILCS 5/19) (from Ch. 111 1/2, par. 1019)
Sec. 19.
Owners or official custodians of public water supplies shall
submit such samples of water for analysis and such reports of operation
pertaining to the sanitary quality, mineral quality, or adequacy of such
supplies as may be requested by the Agency. Such samples and reports shall
be submitted within 15 days after demand by the Agency.
(Source: P.A. 76-2429.)
|
(415 ILCS 5/Tit. IV-A heading) TITLE IV-A:
WATER POLLUTION CONTROL
AND PUBLIC WATER SUPPLIES
|
(415 ILCS 5/19.1) (from Ch. 111 1/2, par. 1019.1)
Sec. 19.1. Legislative findings. The General Assembly finds:
(a) that local government units require assistance in | ||
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(b) that the federal Water Quality Act of 1987 | ||
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(c) that local government units and privately owned | ||
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(d) that the federal Safe Drinking Water Act | ||
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(e) that violations of State and federal drinking | ||
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(f) that the General Assembly agrees with the | ||
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(g) that the American Recovery and Reinvestment Act | ||
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(h) that expanding eligibility to include publicly | ||
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(i) that in planning projects for which financing | ||
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(j) that projects implementing a management program | ||
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(Source: P.A. 98-782, eff. 7-23-14.)
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(415 ILCS 5/19.2) (from Ch. 111 1/2, par. 1019.2)
Sec. 19.2.
As used in this Title, unless the context clearly
requires otherwise:
(a) "Agency" means the Illinois Environmental Protection Agency.
(b) "Fund" means the Water Revolving Fund created
pursuant to this Title, consisting of the Water Pollution Control Loan
Program, the Public Water Supply Loan Program,
and the Loan Support Program.
(c) "Loan" means a loan made from the Water Pollution Control
Loan Program or the Public Water Supply Loan Program to an eligible applicant as a result of a
contractual agreement between the Agency and such applicant.
(d) "Construction" means any one or more of the following which is
undertaken for a public purpose: preliminary planning to determine the
feasibility of the treatment works or public water supply, engineering,
architectural, legal,
fiscal or economic investigations or studies, surveys, designs, plans,
working drawings, specifications, procedures or other necessary actions,
erection, building, acquisition, alteration, remodeling, improvement or
extension of treatment works or public water supplies, or the inspection or
supervision of any of
the foregoing items. "Construction" also includes implementation of source
water quality protection measures and establishment and implementation of
wellhead protection programs in accordance with Section 1452(k)(1) of the
federal Safe Drinking Water Act.
(e) "Intended use plan" means a plan which includes a description of the
short and long term goals and objectives of the Water Pollution Control Loan
Program and the Public Water Supply Loan Program, project categories,
discharge requirements, terms of financial assistance and the loan applicants
to be served.
(f) "Treatment works" means treatment works, as defined in Section 212 of the Federal Water Pollution Control Act, including, but not limited to, the following: any devices and systems owned by a local
government unit and used in the storage, treatment, recycling, and
reclamation of sewerage or industrial wastes of a liquid nature, including
intercepting sewers, outfall sewers, sewage collection systems, pumping
power and other equipment, and appurtenances; extensions,
improvements, remodeling, additions, and alterations thereof; elements
essential to provide a reliable recycled supply, such as standby treatment
units and clear well facilities; any works, including site acquisition
of the land that will be an integral part of the treatment process for
wastewater facilities; and any other method or system for preventing, abating, reducing, storing, treating, separating, or disposing of municipal waste, including storm water runoff, or industrial waste, including waste in combined storm water and sanitary sewer systems as those terms are defined in the Federal Water Pollution Control Act.
(g) "Local government unit" means a county, municipality, township,
municipal or county sewerage or utility authority, sanitary district, public
water district, improvement authority or any other political subdivision
whose primary
purpose is to construct, operate and maintain wastewater treatment facilities, including storm water treatment systems,
or public water supply facilities or both.
(h) "Privately owned community water supply" means:
(1) an investor-owned water utility, if under | ||
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(2) a not-for-profit water corporation, if operating | ||
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(3) a mutually owned or cooperatively owned community | ||
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(Source: P.A. 98-782, eff. 7-23-14.)
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(415 ILCS 5/19.3) (from Ch. 111 1/2, par. 1019.3)
Sec. 19.3. Water Revolving Fund.
(a) There is hereby created within the State Treasury a Water Revolving
Fund, consisting of 3 interest-bearing special programs to be known as the
Water Pollution Control Loan Program, the Public Water Supply Loan Program, and
the Loan Support Program, which shall be used and administered by the Agency.
(b) The Water Pollution Control Loan Program shall be used and administered
by the Agency to provide assistance for the following purposes:
(1) to accept and retain funds from grant awards, | ||
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(2) to make direct loans at or below market interest | ||
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(2.5) with respect to funds provided under the | ||
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(A) to make direct loans at or below market | ||
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(B) to make direct loans at or below market | ||
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(C) to provide additional subsidization, | ||
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(3) to make direct loans at or below market interest | ||
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(3.5) to make loans, including, but not limited to, | ||
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(4) to guarantee or purchase insurance for local | ||
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(5) as a source of revenue or security for the | ||
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(6) to finance the reasonable costs incurred by the | ||
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(7) to transfer funds to the Public Water Supply Loan | ||
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(8) notwithstanding any other provision of this | ||
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(c) The Loan Support Program shall be used and administered by the Agency
for the following purposes:
(1) to accept and retain funds from grant awards and | ||
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(2) to finance the reasonable costs incurred by the | ||
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(3) to transfer funds to the Water Pollution Control | ||
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(4) to accept and retain a portion of the loan | ||
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(5) to finance the development of the low interest | ||
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(6) to finance the reasonable costs incurred by the | ||
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(7) to finance the reasonable costs incurred by the | ||
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(d) The Public Water Supply Loan Program shall be used and administered by
the Agency to provide assistance to local government units and privately owned
community water supplies for public water
supplies for the following public purposes:
(1) to accept and retain funds from grant awards, | ||
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(2) to make direct loans at or below market interest | ||
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(2.5) with respect to funds provided under the | ||
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(A) to make direct loans at or below market | ||
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(B) to buy or refinance the debt obligation of a | ||
| ||
(C) to provide additional subsidization, | ||
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(3) to make direct loans at or below market interest | ||
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(4) to guarantee local obligations where such action | ||
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(5) as a source of revenue or security for the | ||
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(6) to transfer funds to the Water Pollution Control | ||
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(7) notwithstanding any other provision of this | ||
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(e) The Agency is designated as the administering agency of the Fund.
The Agency shall submit to the Regional Administrator of the United States
Environmental Protection Agency an intended use plan which outlines the
proposed use of funds available to the State. The Agency shall take all
actions necessary to secure to the State the benefits of the federal
Water Pollution Control Act and the federal Safe Drinking Water Act, as now
or hereafter amended.
(f) The Agency shall have the power to enter into intergovernmental
agreements with the federal government or the State, or any instrumentality
thereof, for purposes of capitalizing the Water Revolving Fund.
Moneys on deposit in the Water Revolving Fund may be used for the
creation of reserve funds or pledged funds that secure the obligations
of repayment of loans made pursuant to this Section. For the purpose
of obtaining capital for deposit into the Water Revolving Fund, the
Agency may also enter into agreements with financial institutions and other
persons for the purpose of selling loans and developing a secondary market
for such loans. The Agency shall have the power to create and establish such
reserve funds and accounts as may be necessary or desirable to accomplish its
purposes under this subsection and to allocate its available moneys into such
funds and accounts. Investment earnings on moneys held in the Water Revolving
Fund, including any reserve fund or pledged fund, shall be deposited into the
Water Revolving Fund.
(g) Beginning on the effective date of this amendatory Act of the 101st General Assembly, and running for a period of 5 years after that date, the Agency shall prioritize within its annual intended use plan the usage of a portion of the Agency's capitalization grant for federally authorized set-aside activities. The prioritization is for the purpose of supporting disadvantaged communities and utilities throughout Illinois in building their capacity for sustainable and equitable water management. This may include, but is not limited to, assistance for water rate studies, preliminary engineering or other facility planning, training activities, asset management plans, assistance with identification and replacement of lead service lines, and studies of efficiency measures through utility regionalization or other collaborative intergovernmental approaches. (Source: P.A. 101-143, eff. 1-1-20 .)
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(415 ILCS 5/19.4) (from Ch. 111 1/2, par. 1019.4)
Sec. 19.4. Regulations; priorities.
(a) The Agency shall have the authority to promulgate
regulations for the administration of this Title, including, but not limited to, rules setting forth procedures and criteria concerning loan
applications and the issuance of loans. For loans to units of local government, the regulations shall
include, but need not be limited to, the following elements:
(1) loan application requirements;
(2) determination of credit worthiness of the loan | ||
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(3) special loan terms, as necessary, for securing | ||
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(4) assurance of payment;
(5) interest rates;
(6) loan support rates;
(7) impact on user charges;
(8) eligibility of proposed construction;
(9) priority of needs;
(10) special loan terms for disadvantaged communities;
(11) maximum limits on annual distributions of funds | ||
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(12) penalties for noncompliance with loan | ||
| ||
(13) indemnification of the State of Illinois and the | ||
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(b) The Agency shall have the authority to promulgate regulations to set
forth procedures and criteria concerning loan applications for loan recipients
other than units of local government. In addition to all of the elements
required for units of local government under subsection (a), the regulations
shall include, but need not be limited to, the following elements:
(1) types of security required for the loan;
(2) types of collateral, as necessary, that can be | ||
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(3) staged access to fund privately owned community | ||
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(c) Rules adopted under this Title shall also include, but shall not be limited to, criteria for prioritizing the issuance of loans under this Title according to applicant need.
Priority in making loans from the Public Water Supply Loan Program must first
be given to local government units and privately owned community water supplies
that need to make capital improvements to
protect human health and to achieve compliance with the State and federal
primary drinking water standards adopted pursuant to this Act and the federal
Safe Drinking Water Act, as now and hereafter amended. Rules for prioritizing loans from the Water Pollution Control Loan Program may include, but shall not be limited to, criteria designed to encourage green infrastructure, water efficiency, environmentally innovative projects, and nutrient pollution removal. (d) The Agency shall have the authority to promulgate regulations to set forth procedures and criteria concerning loan applications for funds provided under the American Recovery and Reinvestment Act of 2009. In addition, due to time constraints in the American Recovery and Reinvestment Act of 2009, the Agency shall adopt emergency rules as necessary to allow the timely administration of funds provided under the American Recovery and Reinvestment Act of 2009. Emergency rules adopted under this subsection (d) shall be adopted in accordance with Section 5-45 of the Illinois Administrative Procedure Act. (e) The Agency may adopt rules to create a linked deposit loan program through which loans made pursuant to paragraph (3.5) of subsection (b) of Section 19.3 may be made through private lenders. Rules adopted under this subsection (e) shall include, but shall not be limited to, provisions requiring private lenders, prior to disbursing loan proceeds through the linked deposit loan program, to verify that the loan recipients have been approved by the Agency for financing under paragraph (3.5) of subsection (b) of Section 19.3. (Source: P.A. 98-782, eff. 7-23-14.)
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(415 ILCS 5/19.5) (from Ch. 111 1/2, par. 1019.5)
Sec. 19.5.
Loans; repayment.
(a) The Agency shall have the authority to make loans pursuant to the regulations promulgated under Section 19.4.
(b) Loans made from the Fund shall provide for:
(1) a schedule of disbursement of proceeds;
(2) a fixed rate that includes interest and loan | ||
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(3) a schedule of repayment;
(4) initiation of principal repayments within one | ||
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(5) a confession of judgment upon default.
(c) The Agency may amend existing loans to include
a loan support rate only if the overall cost to the loan recipient is not
increased.
(d) A local government unit
shall secure the payment of its
obligations
to the Fund by a dedicated source of repayment, including revenues derived
from the imposition of rates, fees and charges. Other loan applicants shall
secure the payment of their obligations by appropriate security and collateral
pursuant to regulations promulgated under Section 19.4.
(Source: P.A. 91-36, eff. 6-15-99; 91-52, eff. 6-30-99;
91-501, eff. 8-13-99; 92-16, eff. 6-28-01.)
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(415 ILCS 5/19.6) (from Ch. 111 1/2, par. 1019.6)
Sec. 19.6.
Delinquent loan repayment.
(a) In the event that a timely payment is not made by a loan recipient according to the loan schedule of
repayment, the loan recipient
shall notify the Agency in writing within 15 days after the payment due date.
The notification shall
include a statement of the reasons the payment was not timely tendered, the
circumstances under which the late payments will be satisfied, and binding
commitments to assure future payments. After receipt of this
notification, the Agency shall confirm in writing the acceptability of the
plan or take action in accordance with subsection (b) of this Section.
(b) In the event that a loan recipient fails to comply with subsection (a) of this Section, the Agency shall
promptly issue a notice of delinquency to the loan recipient, which shall require a written response within 15
days. The notice of delinquency shall require that the loan recipient revise its rates, fees and charges to
meet its obligations pursuant to subsection (d) of Section 19.5 or take other
specified actions as may be appropriate to remedy the delinquency and to assure
future payments.
(c) In the event that the loan recipient fails to timely or
adequately respond to a notice of delinquency, or fails to meet its
obligations made pursuant to subsections (a) and (b) of this Section, the
Agency shall pursue the collection of the amounts past due, the outstanding
loan balance and the costs thereby incurred, either pursuant to the
Illinois State Collection Act of 1986 or by any other reasonable means as
may be provided by law, including the taking of title by foreclosure or
otherwise to any project or other property pledged, mortgaged, encumbered, or
otherwise available as security or collateral.
(Source: P.A. 91-36, eff. 6-15-99; 91-52, eff. 6-30-99;
91-501, eff. 8-13-99; 92-16, eff. 6-28-01.)
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(415 ILCS 5/19.7) (from Ch. 111 1/2, par. 1019.7)
Sec. 19.7.
(Repealed).
(Source: P.A. 90-372, eff. 7-1-98. Repealed internally, eff. 7-1-98.)
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(415 ILCS 5/19.8) (from Ch. 111 1/2, par. 1019.8)
Sec. 19.8.
Advisory committees.
The Director of the Agency shall appoint
committees to advise the Agency concerning the
financial structure
of the Programs. The committees shall consist
of representatives
from
appropriate State agencies, the financial community, engineering societies
and other interested parties. The committees shall meet
periodically and members shall be reimbursed for
their ordinary and necessary expenses
incurred in the performance of their committee duties.
(Source: P.A. 90-121, eff. 7-17-97; 91-36, eff. 6-15-99; 91-52, eff. 6-30-99;
91-501, eff. 8-13-99.)
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(415 ILCS 5/19.9) (from Ch. 111 1/2, par. 1019.9)
Sec. 19.9.
This Title shall be liberally construed so as
to effect its purpose.
(Source: P.A. 91-52, eff. 6-30-99.)
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(415 ILCS 5/19.10)
Sec. 19.10.
Re-enactment of Title IV-A; findings; purpose; validation.
(a) The General Assembly finds and declares that:
(1) Title IV-A (consisting of Sections 19.1 through | ||
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(2) In 1995, Title IV-A was amended by Public Act | ||
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(3) Title IV-A was amended by Public Act 90-121, | ||
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(4) Title IV-A has also been amended by Public Act | ||
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(5) Article III, Section 6, of Public Act 85-1135 | ||
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(6) Article III of Public Act 85-1135 also added | ||
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(7) Over the 10 years that it has administered Title | ||
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(8) Public Act 85-1135, which created Title IV-A, | ||
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(9) On August 26, 1998, the Cook County Circuit Court | ||
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(10) The projects funded under Title IV-A affect the | ||
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(b) It is the purpose of this amendatory Act of 1999 (Public Act 91-52)
to prevent or minimize any disruption to the programs administered under Title
IV-A that may result from challenges to the constitutional validity of Public
Act 85-1135.
(c) This amendatory Act of 1999 (P.A. 91-52) re-enacts Title IV-A of
the Environmental Protection Act as it has been amended. This re-enactment is
intended to ensure the continuation of the programs administered under that
Title and, if necessary, to recreate them. The material in Sections 19.1
through 19.9 is shown as existing text (i.e., without underscoring) because,
as of the time this amendatory Act of 1999 was prepared, the order declaring
P.A. 85-1135 invalid has been vacated. Section 19.7 has been omitted because
it was repealed by Public Act 90-372, effective July 1, 1998.
Section 4.1 is added to the Build Illinois Bond Act to re-authorize the
deposit of funds into the Water Pollution Control Revolving Fund.
Section 5.238 of the State Finance Act is both re-enacted and
amended to reflect the current name of the Water Revolving Fund.
(d) The re-enactment of Title IV-A of the Environmental Protection Act
by this amendatory Act of 1999 (P.A. 91-52) is intended to remove any
question as to the validity or content of Title IV-A; it is not intended to
supersede any other Public Act that amends the text of a Section as set forth
in this amendatory Act. This re-enactment is not intended, and shall not be
construed, to imply that Public Act 85-1135 is invalid or to limit or impair
any legal argument concerning (1) whether the Agency has express or implied
authority to administer loan programs in the absence of Title IV-A, or (2)
whether the provisions of Title IV-A were substantially re-enacted by P.A.
89-27 or 90-121.
(e) All otherwise lawful actions taken before June 30, 1999 (the
effective date of P.A. 91-52) by any
employee, officer, agency, or unit of State or local government or by any
other person or entity, acting in reliance on or pursuant to Title IV-A of
the Environmental Protection Act, as set forth in Public Act 85-1135 or as
subsequently amended, are hereby validated.
(f) All otherwise lawful obligations arising out of loan agreements entered
into before June 30, 1999 (the effective date of P.A. 91-52) by the State or by any employee, officer, agency, or
unit of State or local government, acting in reliance on or pursuant to Title
IV-A of the Environmental Protection Act, as set forth in Public Act 85-1135
or as subsequently amended, are hereby validated and affirmed.
(g) All otherwise lawful deposits into the Water Pollution Control
Revolving Fund made before June 30, 1999 (the effective date of P.A.
91-52) in accordance with Section 4 of the
Build Illinois Bond Act, as set forth in Public Act 85-1135 or as subsequently
amended, and the use of those deposits for the purposes of Title IV-A of the
Environmental Protection Act, are hereby validated.
(h) This amendatory Act of 1999 (P.A. 91-52) applies, without
limitation, to actions pending on or after the effective date of this
amendatory Act.
(Source: P.A. 91-52, eff. 6-30-99; 92-574, eff. 6-26-02.)
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(415 ILCS 5/19.11) (Text of Section before amendment by P.A. 103-833 ) Sec. 19.11. Public water supply disruption; notification. (a) In this Section: "Disruption event" means any: (1) change to a disinfection technique, practice, or | ||
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(2) planned or unplanned work on or damage to a | ||
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(3) change in a treatment application or source of | ||
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(4) event that results in a public water supply's | ||
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(5) condition that results in the issuance of a | ||
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"Health care facility" means a facility, hospital, or establishment licensed or organized under the Ambulatory Surgical Treatment Center Act, the University of Illinois Hospital Act, the Hospital Licensing Act, the Nursing Home Care Act, the Assisted Living and Shared Housing Act, or the Community Living Facilities Licensing Act. "Health care facility list" means a list enumerating health care facilities and their designees that are served by a public water supply and maintained by a public water distribution entity. "Public water distribution entity" means any of the following entities that are responsible for the direct supervision of a public water supply: a municipality, a private corporation, an individual private owner, or a regularly organized body governed by a constitution and by-laws requiring regular election of officers. "Public water supply" has the same meaning as defined in Section 3.365. "State agencies" means the Illinois Environmental Protection Agency and the Illinois Department of Public Health. "Water supply operator" means any individual trained in the treatment
or distribution of water who has practical, working knowledge of the chemical,
biological, and physical sciences essential to the practical mechanics
of water treatment or distribution and who is capable of conducting
and maintaining the water treatment or distribution processes of a public water supply in a
manner that will provide safe, potable water for human consumption. (b) A public water distribution entity, through its designated employees or contractors, shall notify its water supply operator and all affected health care facilities on the public water supply's health care facility list not less than 14 days before any known, planned, or anticipated disruption event. An anticipated disruption event includes for purposes of this subsection any disruption event that could or should be reasonably anticipated by a public water distribution entity. (c) A public water distribution entity, through its designated employees or contractors, shall notify its water supply operator and all affected health care facilities that are served by the public water supply and affected by any unplanned disruption event in the public water supply's water distribution system. The notification required under this subsection shall be provided within 2 hours after the public water distribution entity becomes aware of the unplanned disruption event. (d) A health care facility shall designate an email address to receive electronic notifications from the public water distribution entity concerning planned or unplanned disruption events. The email account shall be accessible to the health care facility's designated water management plan administrator and other responsible administrative personnel. (e) Any planned or unplanned disruption event notification sent to a health care facility under this Section shall also be sent to the State agencies via email to the email addresses designated by
the State agencies within 5 business days. The State agencies shall establish, maintain, and retain a list of notifications received pursuant to this subsection. The notice required under this Section shall include, but shall not be limited to, the following: (1) a detailed description of the disruption event; (2) the date, time, and location of the disruption | ||
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(3) the expected time needed to resolve the | ||
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(4) a list of the health care facilities notified | ||
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Beginning one year after the effective date of this amendatory Act of the 102nd General Assembly, the State agencies shall make
available upon request a list of disruption events, in an electronic format, sorted by the year and month of each occurrence. (Source: P.A. 102-960, eff. 5-27-22.) (Text of Section after amendment by P.A. 103-833 ) Sec. 19.11. Public water supply disruption; notification. (a) In this Section: "Disruption event" means any: (1) change to a disinfection technique, practice, or | ||
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(2) planned or unplanned work on or damage to a water | ||
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(3) change in a treatment application or source of | ||
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(4) event that results in a public water supply's | ||
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(5) condition that results in the issuance of a boil | ||
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"Disruption notification list" means a list enumerating health care facilities, fire departments, dispatch centers, and their designees that are served by a public water supply and maintained by a public water distribution entity. "Fire department" means a fire protection service provider (i) organized under the Illinois Municipal Code or the Fire Protection District Act and (ii) recognized by the Office of the State Fire Marshal. "Health care facility" means a facility, hospital, or establishment licensed or organized under the Ambulatory Surgical Treatment Center Act, the University of Illinois Hospital Act, the Hospital Licensing Act, the Nursing Home Care Act, the Assisted Living and Shared Housing Act, or the Community Living Facilities Licensing Act. "Public water distribution entity" means any of the following entities that are responsible for the direct supervision of a public water supply: a municipality, a private corporation, an individual private owner, or a regularly organized body governed by a constitution and by-laws requiring regular election of officers. "Public water supply" has the same meaning as defined in Section 3.365. "State agencies" means the Illinois Environmental Protection Agency and the Illinois Department of Public Health. "Water supply operator" means any individual trained in the treatment or distribution of water who has practical, working knowledge of the chemical, biological, and physical sciences essential to the practical mechanics of water treatment or distribution and who is capable of conducting and maintaining the water treatment or distribution processes of a public water supply in a manner that will provide safe, potable water for human consumption. (b) A public water distribution entity, through its designated employees or contractors, shall notify its water supply operator and all affected health care facilities, fire departments, and dispatch centers on the public water supply's disruption notification list not less than 14 days before any known, planned, or anticipated disruption event. An anticipated disruption event includes for purposes of this subsection any disruption event that could or should be reasonably anticipated by a public water distribution entity. (c) A public water distribution entity, through its designated employees or contractors, shall notify its water supply operator, all affected health care facilities, all affected fire departments, and all affected dispatch centers on a disruption notification list that are served by the public water supply and affected by any unplanned disruption event in the public water supply's water distribution system. The notification required under this subsection shall be provided within 2 hours after the public water distribution entity becomes aware of the unplanned disruption event. (d) A health care facility, fire department, and dispatch center shall designate an email address to receive electronic notifications from the public water distribution entity concerning planned or unplanned disruption events. The email account shall be accessible to the health care facility's designated water management plan administrator, the fire department's chief officer, the dispatch center's chief officer, and other responsible administrative personnel. (e) Any planned or unplanned disruption event notification sent to a health care facility, fire department, or dispatch center under this Section shall also be sent to the State agencies via email to the email addresses designated by the State agencies within 5 business days. The State agencies shall establish, maintain, and retain a list of notifications received pursuant to this subsection. The notice required under this Section shall include, but shall not be limited to, the following: (1) a detailed description of the disruption event; (2) the date, time, and location of the disruption | ||
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(3) the expected time needed to resolve the | ||
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(4) a list of the health care facilities, fire | ||
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Beginning one year after the effective date of this amendatory Act of the 102nd General Assembly, the State agencies shall make available upon request a list of disruption events, in an electronic format, sorted by the year and month of each occurrence. (f) A public water distribution entity may use contact information in its possession, including phone numbers, email addresses, and residential addresses, that it obtained before or after a planned or an unplanned disruption event in a public water supply in order to inform its customers of the disruption event, regardless of whether consent is expressly given to use the information for that purpose. (Source: P.A. 102-960, eff. 5-27-22; 103-833, eff. 1-1-25.) |
(415 ILCS 5/Tit. V heading) TITLE V:
LAND POLLUTION AND REFUSE DISPOSAL
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(415 ILCS 5/20) (from Ch. 111 1/2, par. 1020)
Sec. 20.
(a) The General Assembly finds:
(1) that economic and population growth and new | ||
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(2) that excessive quantities of refuse and | ||
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(3) that the failure to salvage and reuse scrap and | ||
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(4) that hazardous waste presents, in addition to the | ||
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(5) that Subtitle C of the Resource Conservation and | ||
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(6) that it would be inappropriate for the State of | ||
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(7) that Subtitle C of the Resource Conservation and | ||
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(8) that it is in the interest of the people of the | ||
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(9) that the federal requirements for the securing of | ||
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(10) that the handling, storage and disposal of | ||
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(11) that Subtitle D of the Resource Conservation and | ||
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(12) that it would be inappropriate for the State of | ||
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(13) that Subtitle D of the Resource Conservation and | ||
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(14) that it is in the interest of the people of the | ||
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(15) that the federal requirements for the securing | ||
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(b) It is the purpose of this Title to prevent the pollution or misuse of
land, to promote the conservation of natural resources and minimize
environmental damage by reducing the difficulty of disposal of wastes and
encouraging and effecting the recycling and reuse of waste materials, and
upgrading waste collection, treatment, storage, and disposal practices;
and to authorize, empower, and direct the Board to adopt such regulations
and the Agency to adopt such procedures as will enable the State to secure
federal approval of the State hazardous waste and solid waste management
programs pursuant to the provisions of subtitles C and D of the Resource
Conservation and Recovery Act of 1976 (P.L. 94-580), as amended, and federal
regulations pursuant thereto.
(c) It is in the public interest to encourage the recycling and reuse
of materials such as paper and paperboard and that the Board and the Agency
in their planning and in the adoption, interpretation, and enforcement of
regulations and standards shall encourage such recycling and reuse to the
extent consistent with federal requirements.
(d) The General Assembly finds:
(1) that an increase in the hazardous waste disposal | ||
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(2) that there are wastes currently being treated, | ||
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(3) that State policy and programs should be | ||
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(4) that there are wastes which may have reduced | ||
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(5) that both permitted or interim status on-site and | ||
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(6) that the disposal of wastes in monofills | ||
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(7) that for these and other reasons there are | ||
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(e) The General Assembly finds that:
(1) It is the policy of the State of Illinois, as | ||
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(2) Some disposal facilities in Illinois are quickly | ||
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(3) In order to evaluate current waste handling | ||
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(4) By collecting data relating to the movement of | ||
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(Source: P.A. 87-484; 88-496.)
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(415 ILCS 5/20.1) (from Ch. 111 1/2, par. 1020.1)
Sec. 20.1.
(a) The Agency shall conduct a survey and prepare and publish
a list of sites in the State where hazardous waste has been deposited, treated, or stored.
(b) The Agency shall monitor hazardous waste processing, use, handling,
storage, and disposal practices in the State, and shall determined existing
and expected rates of production of hazardous waste.
(c) The Agency shall compile and make available to the public an annual
report identifying the types and quantities of hazardous waste generated,
stored, treated or disposed of within this State and containing the other
information required to be collected under this Section.
(Source: P.A. 83-906.)
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(415 ILCS 5/21) (from Ch. 111 1/2, par. 1021) Sec. 21. Prohibited acts. No person shall: (a) Cause or allow the open dumping of any waste. (b) Abandon, dump, or deposit any waste upon the public highways or other public property, except in a sanitary landfill approved by the Agency pursuant to regulations adopted by the Board. (c) Abandon any vehicle in violation of the "Abandoned Vehicles Amendment to the Illinois Vehicle Code", as enacted by the 76th General Assembly. (d) Conduct any waste-storage, waste-treatment, or waste-disposal operation: (1) without a permit granted by the Agency or in | ||
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(2) in violation of any regulations or standards | ||
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(3) which receives waste after August 31, 1988, does | ||
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Item (3) of this subsection (d) shall not apply to any person engaged in agricultural activity who is disposing of a substance that constitutes solid waste, if the substance was acquired for use by that person on his own property, and the substance is disposed of on his own property in accordance with regulations or standards adopted by the Board. This subsection (d) shall not apply to hazardous waste. (e) Dispose, treat, store or abandon any waste, or transport any waste into this State for disposal, treatment, storage or abandonment, except at a site or facility which meets the requirements of this Act and of regulations and standards thereunder. (f) Conduct any hazardous waste-storage, hazardous waste-treatment or hazardous waste-disposal operation: (1) without a RCRA permit for the site issued by the | ||
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(2) in violation of any regulations or standards | ||
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(3) in violation of any RCRA permit filing | ||
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(4) in violation of any order adopted by the Board | ||
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Notwithstanding the above, no RCRA permit shall be required under this subsection or subsection (d) of Section 39 of this Act for any person engaged in agricultural activity who is disposing of a substance which has been identified as a hazardous waste, and which has been designated by Board regulations as being subject to this exception, if the substance was acquired for use by that person on his own property and the substance is disposed of on his own property in accordance with regulations or standards adopted by the Board. (g) Conduct any hazardous waste-transportation operation: (1) without registering with and obtaining a special | ||
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(2) in violation of any regulations or standards | ||
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(h) Conduct any hazardous waste-recycling or hazardous waste-reclamation or hazardous waste-reuse operation in violation of any regulations, standards or permit requirements adopted by the Board under this Act. (i) Conduct any process or engage in any act which produces hazardous waste in violation of any regulations or standards adopted by the Board under subsections (a) and (c) of Section 22.4 of this Act. (j) Conduct any special waste-transportation operation in violation of any regulations, standards or permit requirements adopted by the Board under this Act. However, sludge from a water or sewage treatment plant owned and operated by a unit of local government which (1) is subject to a sludge management plan approved by the Agency or a permit granted by the Agency, and (2) has been tested and determined not to be a hazardous waste as required by applicable State and federal laws and regulations, may be transported in this State without a special waste hauling permit, and the preparation and carrying of a manifest shall not be required for such sludge under the rules of the Pollution Control Board. The unit of local government which operates the treatment plant producing such sludge shall file an annual report with the Agency identifying the volume of such sludge transported during the reporting period, the hauler of the sludge, and the disposal sites to which it was transported. This subsection (j) shall not apply to hazardous waste. (k) Fail or refuse to pay any fee imposed under this Act. (l) Locate a hazardous waste disposal site above an active or inactive shaft or tunneled mine or within 2 miles of an active fault in the earth's crust. In counties of population less than 225,000 no hazardous waste disposal site shall be located (1) within 1 1/2 miles of the corporate limits as defined on June 30, 1978, of any municipality without the approval of the governing body of the municipality in an official action; or (2) within 1000 feet of an existing private well or the existing source of a public water supply measured from the boundary of the actual active permitted site and excluding existing private wells on the property of the permit applicant. The provisions of this subsection do not apply to publicly owned sewage works or the disposal or utilization of sludge from publicly owned sewage works. (m) Transfer interest in any land which has been used as a hazardous waste disposal site without written notification to the Agency of the transfer and to the transferee of the conditions imposed by the Agency upon its use under subsection (g) of Section 39. (n) Use any land which has been used as a hazardous waste disposal site except in compliance with conditions imposed by the Agency under subsection (g) of Section 39. (o) Conduct a sanitary landfill operation which is required to have a permit under subsection (d) of this Section, in a manner which results in any of the following conditions: (1) refuse in standing or flowing waters; (2) leachate flows entering waters of the State; (3) leachate flows exiting the landfill confines (as | ||
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(4) open burning of refuse in violation of Section 9 | ||
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(5) uncovered refuse remaining from any previous | ||
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(6) failure to provide final cover within time limits | ||
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(7) acceptance of wastes without necessary permits; (8) scavenging as defined by Board regulations; (9) deposition of refuse in any unpermitted portion | ||
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(10) acceptance of a special waste without a required | ||
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(11) failure to submit reports required by permits or | ||
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(12) failure to collect and contain litter from the | ||
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(13) failure to submit any cost estimate for the site | ||
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The prohibitions specified in this subsection (o) shall be enforceable by the Agency either by administrative citation under Section 31.1 of this Act or as otherwise provided by this Act. The specific prohibitions in this subsection do not limit the power of the Board to establish regulations or standards applicable to sanitary landfills. (p) In violation of subdivision (a) of this Section, cause or allow the open dumping of any waste in a manner which results in any of the following occurrences at the dump site: (1) litter; (2) scavenging; (3) open burning; (4) deposition of waste in standing or flowing waters; (5) proliferation of disease vectors; (6) standing or flowing liquid discharge from the | ||
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(7) deposition of: (i) general construction or demolition debris as | ||
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(ii) clean construction or demolition debris as | ||
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The prohibitions specified in this subsection (p) shall be enforceable by the Agency either by administrative citation under Section 31.1 of this Act or as otherwise provided by this Act. The specific prohibitions in this subsection do not limit the power of the Board to establish regulations or standards applicable to open dumping. (q) Conduct a landscape waste composting operation without an Agency permit, provided, however, that no permit shall be required for any person: (1) conducting a landscape waste composting operation | ||
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(1.5) conducting a landscape waste composting | ||
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(2) applying landscape waste or composted landscape | ||
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(2.5) operating a landscape waste composting facility | ||
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(A) the composting facility is operated by the | ||
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(A-5) any composting additives that the | ||
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(B) the property on which the composting facility | ||
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(C) all compost generated by the composting | ||
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(D) no fee is charged for the acceptance of | ||
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(E) the owner or operator, by January 1, 2014 (or | ||
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(3) operating a landscape waste composting facility | ||
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(A) the composting facility is operated by the | ||
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(A-1) the composting facility accepts from other | ||
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(A-2) any composting additives that the | ||
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(B) the property on which the composting facility | ||
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(C) all compost generated by the composting | ||
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(D) the owner or operator, by January 1 of each | ||
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(I) was placed more than 200 feet from the | ||
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(II) was placed outside the boundary of the | ||
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(III) was placed either (aa) at least 1/4 | ||
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(IV) was placed more than 5 feet above the | ||
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Any ordinance approving a residential setback of | ||
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For the purposes of this subsection (q), "agronomic rates" means the application of not more than 20 tons per acre per year, except that the Board may allow a higher rate for individual sites where the owner or operator has demonstrated to the Board that the site's soil characteristics or crop needs require a higher rate. For the purposes of this subsection (q), "incidental sale of finished compost" means the sale of finished compost that meets general use compost standards and is no more than 20% or 300 cubic yards, whichever is less, of the total compost created annually by a private landowner for the landowner's own use. (r) Cause or allow the storage or disposal of coal combustion waste unless: (1) such waste is stored or disposed of at a site or | ||
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(2) such waste is stored or disposed of as a part of | ||
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(3) such waste is stored or disposed of at a site or | ||
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(i) such waste is stored or disposed of in | ||
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(ii) the owner or operator of the facility | ||
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Notwithstanding any other provision of this Title, the disposal of coal combustion waste pursuant to item (2) or (3) of this subdivision (r) shall be exempt from the other provisions of this Title V, and notwithstanding the provisions of Title X of this Act, the Agency is authorized to grant experimental permits which include provision for the disposal of wastes from the combustion of coal and other materials pursuant to items (2) and (3) of this subdivision (r). (s) After April 1, 1989, offer for transportation, transport, deliver, receive or accept special waste for which a manifest is required, unless the manifest indicates that the fee required under Section 22.8 of this Act has been paid. (t) Cause or allow a lateral expansion of a municipal solid waste landfill unit on or after October 9, 1993, without a permit modification, granted by the Agency, that authorizes the lateral expansion. (u) Conduct any vegetable by-product treatment, storage, disposal or transportation operation in violation of any regulation, standards or permit requirements adopted by the Board under this Act. However, no permit shall be required under this Title V for the land application of vegetable by-products conducted pursuant to Agency permit issued under Title III of this Act to the generator of the vegetable by-products. In addition, vegetable by-products may be transported in this State without a special waste hauling permit, and without the preparation and carrying of a manifest. (v) (Blank). (w) Conduct any generation, transportation, or recycling of construction or demolition debris, clean or general, or uncontaminated soil generated during construction, remodeling, repair, and demolition of utilities, structures, and roads that is not commingled with any waste, without the maintenance of documentation identifying the hauler, generator, place of origin of the debris or soil, the weight or volume of the debris or soil, and the location, owner, and operator of the facility where the debris or soil was transferred, disposed, recycled, or treated. This documentation must be maintained by the generator, transporter, or recycler for 3 years. This subsection (w) shall not apply to (1) a permitted pollution control facility that transfers or accepts construction or demolition debris, clean or general, or uncontaminated soil for final disposal, recycling, or treatment, (2) a public utility (as that term is defined in the Public Utilities Act) or a municipal utility, (3) the Illinois Department of Transportation, or (4) a municipality or a county highway department, with the exception of any municipality or county highway department located within a county having a population of over 3,000,000 inhabitants or located in a county that is contiguous to a county having a population of over 3,000,000 inhabitants; but it shall apply to an entity that contracts with a public utility, a municipal utility, the Illinois Department of Transportation, or a municipality or a county highway department. The terms "generation" and "recycling", as used in this subsection, do not apply to clean construction or demolition debris when (i) used as fill material below grade outside of a setback zone if covered by sufficient uncontaminated soil to support vegetation within 30 days of the completion of filling or if covered by a road or structure, (ii) solely broken concrete without protruding metal bars is used for erosion control, or (iii) milled asphalt or crushed concrete is used as aggregate in construction of the shoulder of a roadway. The terms "generation" and "recycling", as used in this subsection, do not apply to uncontaminated soil that is not commingled with any waste when (i) used as fill material below grade or contoured to grade, or (ii) used at the site of generation. (y) Inject any carbon dioxide stream produced by a carbon dioxide capture project into a Class II well, as defined by the Board under this Act, or a Class VI well converted from a Class II well, for purposes of enhanced oil or gas recovery, including, but not limited to, the facilitation of enhanced oil or gas recovery from another well. (z) Sell or transport concentrated carbon dioxide stream produced by a carbon dioxide capture project for use in enhanced oil or gas recovery. (aa) Operate a carbon sequestration activity in a manner that causes, threatens, or allows the release of carbon dioxide so as to tend to cause water pollution in this State. (Source: P.A. 102-216, eff. 1-1-22; 102-310, eff. 8-6-21; 102-558, eff. 8-20-21; 102-813, eff. 5-13-22; 103-342, eff. 1-1-24; 103-651, eff. 7-18-24.) |
(415 ILCS 5/21.1) (from Ch. 111 1/2, par. 1021.1)
Sec. 21.1.
(a) Except as provided in subsection (a.5), no person other
than the State of Illinois, its agencies and institutions, or a unit of local
government shall own or operate a MSWLF unit or other waste disposal operation on or after March 1,
1985, which requires a permit under subsection (d) of Section 21 of this Act,
unless such person has posted with the Agency a performance bond or other
security for the purpose of insuring closure of the site and post-closure care
in accordance with this Act and regulations adopted thereunder.
(a.5) On and after the effective date established by the United
States Environmental Protection Agency for MSWLF units to provide financial
assurance under Subtitle D of the Resource Conservation and Recovery Act, no
person, other than
the State of
Illinois, its agencies and institutions, shall own or operate a MSWLF unit that requires a permit under subsection (d) of Section 21 of
this Act, unless that person has posted with the Agency a performance bond or
other security for the purposes of:
(1) insuring closure of the site and post-closure | ||
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(2) insuring completion of a corrective action remedy | ||
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The performance bond or other security requirement set forth in this
Section
may be fulfilled by closure or post-closure insurance, or both, issued by an
insurer
licensed to transact the business of insurance by the Department of Insurance
or at a minimum the insurer must be licensed to transact the business of
insurance or approved to provide insurance as an excess or surplus lines
insurer by the insurance department in one or more states.
(b) On or before January 1, 1985, the Board shall adopt regulations to
promote the purposes of this Section. Without limiting the generality of
this authority, such regulations may, among other things, prescribe the
type and amount of the performance bonds or other securities required under
subsections (a) and (a.5) of this Section, and the conditions under which the
State is entitled to collect monies from such performance bonds or other
securities. The bond amount shall be directly related to the design and volume
of the site. The cost estimate for the post-closure care of a MSWLF unit shall
be calculated using a 30 year post-closure care period or such other period as
may be approved by the Agency under Board or federal rules. On and after the
effective date established by the United States Environmental Protection Agency
for MSWLF units to provide financial assurance under Subtitle D of the Resource
Conservation and Recovery Act, closure,
post-closure care, and corrective action cost estimates for MSWLF units shall
be in current dollars.
(c) There is hereby created within the State Treasury a special fund to
be known as the "Landfill Closure and Post-Closure Fund". Any monies forfeited
to the State of Illinois from any performance bond or other security required
under this Section shall be placed in the "Landfill Closure and Post-Closure
Fund" and shall, upon approval by the Governor and the Director, be used
by and under the direction of the Agency for the purposes for which such
performance bond or other security was issued. The Landfill Closure and
Post-Closure Fund is not subject to the provisions of subsection (c) of Section
5 of the State Finance Act.
(d) The Agency is authorized to enter into such contracts and agreements
as it may deem necessary to carry out the purposes of this Section. Neither
the State, nor the Director, nor any State employee shall be liable for
any damages or injuries arising out of or resulting from any action taken
under this Section.
(e) The Agency shall have the authority to approve or disapprove any
performance bond or other security posted pursuant to subsection (a) or
(a.5) of
this Section. Any person whose performance bond or other security is
disapproved by the Agency may contest the disapproval as a permit denial
appeal pursuant to Section 40 of this Act.
(f) The Agency may establish such procedures as it may deem necessary
for the purpose of implementing and executing its responsibilities under this
Section.
(g) Nothing in this Section shall bar a cause of action by the State for
any other penalty or relief provided by this Act or any other law.
(Source: P.A. 97-887, eff. 8-2-12.)
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(415 ILCS 5/21.2) (from Ch. 111 1/2, par. 1021.2)
Sec. 21.2.
(a) After June 30, 1988, no person may sell or offer for sale
at retail in this State any metal beverage container acquired by the seller
or retailer after that date which is designed and constructed in such a
manner that a part of the container is detachable in opening the container
without the aid of a can opener, unless the part comprises substantially all of one of the ends of the metal beverage container.
(b) For purposes of this Section:
(1) "Beverage" means beer or other malt beverages, mineral water, soda
water or carbonated soft drinks, in liquid form and intended for human
consumption.
(2) "Metal beverage container" means any can or other container which is
composed exclusively or predominantly of metal or metallic alloys (except
those sold to interstate common carriers for use in passenger service) and
which contains or did contain a beverage.
(c) Any person who violates this Section is guilty of a business offense
and shall be subject to a fine of $500 for the first such violation. Any
person who violates this Section a second or subsequent time shall be
guilty of a business offense and shall be subject to a fine of $2,000.
(Source: P.A. 100-51, eff. 1-1-18 .)
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(415 ILCS 5/21.3) (from Ch. 111 1/2, par. 1021.3)
Sec. 21.3. Environmental reclamation lien.
(a) All costs and damages for which a person is liable to
the State of Illinois under Section 22.2, 22.15a, 55.3, or 57.12 shall constitute
an environmental reclamation lien in favor of the State of Illinois upon
all real property and rights to such property which:
(1) belong to such person; and
(2) are subject to or affected by a removal or | ||
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(b) An environmental reclamation lien shall continue until the liability
for the costs and damages, or a judgment against the person arising out
of such liability, is satisfied.
(c) An environmental reclamation lien shall be effective upon the filing
by the Agency of a Notice of Environmental Reclamation Lien with the
recorder or the registrar of titles of the county in which the real
property lies. The Agency shall not file an environmental reclamation
lien, and no such lien shall be valid, unless the Agency has sent notice
pursuant to subsection (q) of Section 4, subsection (c) of Section 22.15a,
subsection (d) of Section 55.3, or subsection (c) of Section 57.12 of this
Act
to owners of the real property. Nothing in this Section shall be construed to
give the Agency's lien a preference over the rights of any bona fide purchaser
or mortgagee or other lienholder (not
including the United States when holding an unfiled lien) arising prior to
the filing of a notice of environmental reclamation lien in the office of
the recorder or registrar of titles of the county in which the
property subject to the lien is located. For purposes of this Section, the
term "bona fide" shall not include any mortgage of real or personal property
or any other credit transaction that results in the mortgagee or the holder
of the security acting as trustee for unsecured creditors of the liable
person mentioned in the notice of lien who executed such chattel or real
property mortgage or the document evidencing such credit transaction. Such
lien shall be inferior to the lien of general taxes, special assessments
and special taxes heretofore or hereafter levied by any political
subdivision of this State.
(d) The environmental reclamation lien shall not exceed the amount of
expenditures as itemized on the Affidavit of Expenditures attached to and
filed with the Notice of Environmental Reclamation Lien. The Affidavit of
Expenditures may be amended if additional costs or damages are incurred.
(e) Upon filing of the Notice of Environmental Reclamation Lien a copy
with attachments shall be served upon the owners of the real property. Notice
of such service shall be served on all lienholders of record as of the date of
filing.
(f) (Blank).
(g) In addition to any other remedy provided by the laws of this State,
the Agency may foreclose in the circuit court an environmental reclamation
lien on real property for any costs or damages imposed under Section 22.2,
22.15a, 55.3, or 57.12 to the same extent and in the same manner as in the
enforcement of other liens. The process, practice and procedure for such
foreclosure shall be the same as provided in Article XV of the Code of
Civil Procedure. Nothing in this Section shall affect the right of the State
of Illinois to bring an action against any person to recover all costs and
damages for which such person is liable under Section 22.2, 22.15a, 55.3, or
57.12.
(h) Any liability to the State under Section 22.2, 22.15a, 55.3, or
57.12 shall
constitute a debt to the State. Interest on such debt shall begin to accrue
at a rate of 12% per annum from the date of the filing of the Notice of
Environmental Reclamation Lien under paragraph (c). Accrued interest shall
be included as a cost incurred by the State of Illinois under Section 22.2,
22.15a, 55.3, or 57.12.
(i) "Environmental reclamation lien" means a lien established under this
Section.
(Source: P.A. 94-272, eff. 7-19-05.)
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(415 ILCS 5/21.4) (from Ch. 111 1/2, par. 1021.4)
Sec. 21.4.
(a) The Agency is hereby authorized to acquire
the fee or any lesser interest, including easements, in real property where
necessary or appropriate:
(1) to protect human health or the environment; or
(2) to respond to the release or substantial threat of a release of any
hazardous substance or petroleum into the environment; or
(3) as part of a proceeding to foreclose or enforce
liens or interests under Section 21.3.
(b) The Agency is authorized to retain for public use or to convey, deed,
assign or otherwise transfer all or any portion of the interest in real
property acquired pursuant to subsection (a) and may place restrictions
upon the use of the property after transfer as are necessary or appropriate:
(1) to protect present or future human health or the environment; or
(2) to respond to the release or substantial threat of a release of any
hazardous substance or petroleum into the environment.
(c) Any monies received by the State of Illinois pursuant to
paragraph (b) of this Section shall be deposited in the Hazardous Waste Fund.
(Source: P.A. 86-820.)
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(415 ILCS 5/21.5) (from Ch. 111 1/2, par. 1021.5)
Sec. 21.5.
Toxic packaging reduction.
(a) For the purposes of this Section, the following terms have the
meanings ascribed to them in this subsection:
"Distributor" means any person, firm, or corporation | ||
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"Package" means a container providing a direct means | ||
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"Packaging component" means any individual assembled | ||
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(b) Beginning July 1, 1994, no package or packaging component may be
offered for sale or promotional purposes in this State, by its manufacturer
or distributor, if the package itself or any packaging component includes
any ink, dye, pigment, adhesive, stabilizer, or other additive that contains
lead, cadmium, mercury or hexavalent chromium that has been intentionally
introduced during manufacturing or distribution.
(c) Beginning July 1, 1994, no product may be offered for sale or
for promotional purposes in this State by its manufacturer or distributor in Illinois in
a package that includes, in the package itself or in any of its packaging
components, any ink, dye, pigment, adhesive, stabilizer, or other additive
that contains lead, cadmium, mercury or hexavalent chromium that has been
intentionally introduced during manufacturing or distribution.
(d) No package or packaging component, and no product in a package, may
be offered for sale or promotional purposes in this State if the sum of the
concentration levels of lead, cadmium, mercury, or hexavalent chromium
present in the package or packaging component, but not intentionally
introduced by the manufacturer or distributor, exceeds the following limits:
(1) 600 parts per million by weight (0.06%) beginning | ||
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(2) 250 parts per million by weight (0.025%) | ||
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(3) 100 parts per million by weight (0.01%) beginning | ||
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(e) The following packages and packaging components are not subject to this
Section:
(1) Those packages or packaging components with a | ||
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(2) Those packages or packaging components for which | ||
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(3) Until July 1, 1998, packages and packaging | ||
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(4) Those packages or packaging components used to | ||
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(5) Packaging components, including but not limited | ||
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(6) Those packages used in transporting, protecting, | ||
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(f) The Agency may grant an exemption from the requirements of this
Section for a package or packaging component to which lead, cadmium,
mercury, or hexavalent chromium has been added in the manufacturing,
forming, printing, or distribution process in order to comply with health or
safety requirements of federal law or because there is not a feasible
alternative. These exemptions shall be granted, upon application of the
manufacturer of the package or packaging component, for a period of 2
years and are renewable for periods of 2 years. If the Agency denies a
request for exemption, or
fails to take final action on a request within 180 days, the applicant may
seek review from the Board in the same manner as in the case of a permit
denial. Any other party to the Agency proceeding may seek review in the
manner provided in subsection (c) of Section 40.
For the purposes of this subsection, a use for which there is no feasible
alternative is one in which the regulated substance is essential to the
protection, safe handling, or function of the package's contents.
The Agency may enter into reciprocal agreements with other states that
have adopted similar restrictions on toxic packaging and may accept
exemptions to those restrictions granted by such states. Prior to taking
such action, the Agency shall provide for public notice in the
Environmental Register and for a 30-day comment period.
(g) Beginning July 1, 1994, a certificate of compliance stating that
a package or packaging component is in compliance with the requirements of
this Section shall be furnished by its manufacturer or supplier to its
distributor, or shall be maintained by the manufacturer in Illinois if the
manufacturer is also the distributor. If compliance is achieved only under
the exemption provided in
subdivision (e)(2) or (e)(3), the certificate shall state the specific
basis upon which the exemption is claimed. The certificate of compliance
shall be signed by an authorized official of the manufacturer or supplier.
The certificate can be for the entire class, type, or category of packaging
or a particular product regulated under this Act, and a certificate need
not be provided or maintained for each individual package, packaging
component, or packaging for a product.
The manufacturer or distributor in Illinois shall retain the
certificate of compliance for as long as the
package or packaging component is in use. A copy of the certificate of
compliance shall be kept on file by the manufacturer or supplier of the
package or packaging component. Certificates of compliance, or copies
thereof, shall be furnished to the Agency upon its request and to members
of the public in accordance with subsection (i).
If the manufacturer or supplier of the package or packaging component
reformulates or creates a new package or packaging component, the
manufacturer or supplier shall provide an amended or new certificate of
compliance for the reformulated or new package or packaging component.
(h) (Blank.)
(i) Any request from a member of the public for any certificate of
compliance from the manufacturer or supplier of a package or packaging
component shall be:
(1) made in writing and transmitted by registered | ||
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(2) specific as to the package or packaging component | ||
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(3) responded to by the manufacturer or supplier | ||
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(j) The provisions of this Section shall not apply to any glass or
ceramic product used as packaging that is intended to be reusable or
refillable, and where the lead and cadmium from the product do not exceed
the Toxicity Characteristic Leachability Procedures of leachability of lead
and cadmium as set forth by the U.S. Environmental Protection Agency.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/21.6) (from Ch. 111 1/2, par. 1021.6)
Sec. 21.6. Materials disposal ban.
(a) Beginning July 1, 1996, no person may knowingly mix liquid used oil
with any municipal waste that is intended for collection and disposal at a
landfill.
(b) Beginning July 1, 1996, no owner or operator of a sanitary landfill
shall accept for final disposal liquid used oil that
is discernible in the course of prudent business operation.
(c) For purposes of this Section, "liquid used oil" does not
include used oil filters, rags, absorbent material used to collect spilled oil
or other materials incidentally contaminated with used oil, or empty containers
which previously contained virgin oil, re-refined oil, or used oil.
(d) (Blank).
(Source: P.A. 100-621, eff. 7-20-18.)
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(415 ILCS 5/21.7) Sec. 21.7. Landfills. (a) The purpose of this Section is to enact legislative recommendations provided by the Mahomet Aquifer Protection Task Force, established under Public Act 100-403. The Task Force identified capped but unregulated or underregulated landfills that overlie the Mahomet Aquifer as potentially hazardous to valuable groundwater resources. These unregulated or underregulated landfills generally began accepting waste for disposal sometime prior to 1973. (b) The Agency shall prioritize unregulated or underregulated landfills that overlie the Mahomet Aquifer for inspection. The following factors shall be considered: (1) the presence of, and depth to, any aquifer with | ||
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(2) whether the landfill has an engineered liner | ||
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(3) whether the landfill has an active groundwater | ||
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(4) whether waste disposal occurred within the | ||
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(5) landfills within the setback zone of any potable | ||
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(c) Subject to appropriation, the Agency shall use existing information available from State and federal agencies, such as the Prairie Research Institute, the Department of Natural Resources, the Illinois Emergency Management Agency, the Federal Emergency Management Agency, and the Natural Resources Conservation Service, to identify unknown, unregulated, or underregulated waste disposal sites that overlie the Mahomet Aquifer that may pose a threat to surface water or groundwater resources. (d) Subject to appropriation, for those landfills prioritized for response action following inspection and investigation, the Agency shall use its own data, along with data from municipalities, counties, solid waste management associations, companies, corporations, and individuals, to archive information about the landfills, including their ownership, operational details, and waste disposal history.
(Source: P.A. 101-573, eff. 1-1-20; 102-558, eff. 8-20-21.) |
(415 ILCS 5/21.8) (This Section may contain text from a Public Act with a delayed effective date ) Sec. 21.8. Fluorescent lamp bans. (a) The General Assembly finds that: (1) Mercury is a persistent and toxic pollutant that | ||
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(2) Human exposure to mercury can result in nervous | ||
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(3) Removal of mercury and mercury-containing | ||
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(4) All fluorescent lamps contain mercury and can | ||
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(5) Light-emitting diode (LED) replacements for | ||
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(b) In this Section: "Compact fluorescent lamp" means a compact low-pressure, mercury-containing, electric-discharge light source in which a fluorescent coating transforms some of the ultraviolet energy generated by the mercury discharge into visible light, and includes all of the following characteristics: (1) One base (end cap) of any type, including, but | ||
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(2) Integrally ballasted or non-integrally ballasted. (3) Light emission between a correlated color | ||
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(4) All tube diameters and all tube lengths. (5) All lamp sizes and shapes for directional and | ||
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"Linear fluorescent lamp" means a low-pressure, mercury-containing, electric-discharge light source in which a fluorescent coating transforms some of the ultraviolet energy generated by the mercury discharge into visible light, and includes all of the following characteristics: (1) Two bases (end caps) of any type, including, but | ||
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(2) Light emission between a correlated color | ||
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(3) All tube diameters, including, but not limited | ||
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(4) All tube lengths from 0.5 to 8.0 feet, inclusive. (5) All lamp shapes, including, but not limited to, | ||
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"Sunlamp product" has the meaning given in 21 CFR 1040.20(b)(9). (c) Beginning January 1, 2026, no person shall sell, offer to sell, or distribute in the State as a new manufactured product a screw-base or bayonet-base type compact fluorescent lamp. (d) beginning January 1, 2027, no person shall sell, offer to sell, or distribute in the State as a new manufactured product a pin-base type compact fluorescent lamp or a linear fluorescent lamp. (e) The prohibitions in this Section do not apply to the following: (1) A lamp designed and marketed exclusively for | ||
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(A) photocopying; (B) printing, directly or in preprocessing; (C) lithography; (D) film or video projection; or (E) holography. (2) A lamp that has a high proportion of ultraviolet | ||
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(A) a lamp with high ultraviolet content that has | ||
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(B) a lamp for germicidal use, such as the | ||
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(C) a lamp designed and marketed exclusively for | ||
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(D) a lamp designed and marketed exclusively for | ||
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(E) a lamp designed and marketed exclusively for | ||
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(F) a lamp designed and marketed exclusively for | ||
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(3) A lamp designed and marketed exclusively for use | ||
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(4) A lamp designed and marketed exclusively for use | ||
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(5) A lamp designed and marketed exclusively for | ||
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(6) A lamp used by academic and research institutions | ||
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(7) A compact fluorescent lamp used to replace a lamp | ||
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(8) A compact fluorescent lamp or linear fluorescent | ||
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(f) Nothing in this Section shall be interpreted to limit the ability of a utility to offer energy efficient lighting, rebates, or lamp recycling services, or to claim persisting energy savings based on fluorescent technology resulting from such programs, through its energy conservation and optimization plans approved by the Illinois Commerce Commission under Section 8-103B of the Public Utilities Act. (Source: P.A. 103-799, eff. 1-1-25.) |
(415 ILCS 5/22) (from Ch. 111 1/2, par. 1022)
Sec. 22.
In accord with Title VII of this Act, the Board may adopt
regulations to promote the purposes of this Title. Without limiting the
generality of this authority, such regulations may among other things
prescribe the following:
(a) Standards for the location, design, construction, sanitation,
operation, maintenance, and discontinuance of the operation of refuse
collection and disposal, storage and treatment sites and facilities and
resource conservation and recovery sites and facilities;
(b) Standards for the dumping of any refuse, and standards for the
handling, storing, processing, transporting and disposal of any
hazardous waste;
(c) Requirements and standards for the keeping of records and the
reporting and retaining of data collected by generators, processors,
storers, transporters, handlers, treaters, and disposers of special or
hazardous waste;
(d) Requirements and standards for equipment and procedures for
monitoring contaminant discharges at their source, the collection of
samples and the collection, reporting and retention of data resulting
from such monitoring;
(e) Alert and abatement standards relative to land pollution
emergencies constituting an acute danger to health or to the
environment;
(f) Requirements and standards for adequate and proper care and
maintenance of, closure of, and post-closure monitoring, maintenance and
use of hazardous waste disposal sites;
(g) Requirements to prohibit the disposal of certain hazardous
wastes in sanitary landfills where, after regulatory proceedings held in
conformance with Title VII of this Act, it is determined by the Board that
the long term impacts to public health and the environment are such that
land burial should not be allowed and where an economically reasonable,
technically feasible and environmentally sound alternative is available for
processing, recycling, fixation or neutralization of such wastes. The
agency shall participate in all such proceedings. No such prohibition may
become effective unless a specific alternative technology meeting the
criteria of this subsection is identified by the Board. Nothing in this
subsection shall prohibit the land burial of any hazardous waste which is
the subject of review under this subsection until such time as a final
prohibition order is issued by the Board.
(Source: P.A. 83-425.)
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(415 ILCS 5/22.01) (from Ch. 111 1/2, par. 1022.01)
Sec. 22.01. Manifests for nonhazardous special waste. When manifests
are required by the Board for the shipment
of nonhazardous special waste, the manifests shall consist of forms prescribed by the Agency. The forms must comply with the requirements of this Section and may be purchased from a third party. Generators of nonhazardous special waste and facilities
accepting nonhazardous special waste are not required to submit copies of
nonhazardous special waste manifests to the Agency; provided, however, that
generators of nonhazardous special waste containing polychlorinated
biphenyls and facilities accepting nonhazardous special waste containing
polychlorinated biphenyls shall submit copies of nonhazardous special waste
manifests to the Agency for shipments of waste containing polychlorinated
biphenyls. Copies of each manifest shall be retained for 3 years by
generators and facilities, and shall be available for
inspection and copying by the Agency. The Agency may adopt such
procedures for the distribution of copies of manifests as it deems necessary.
Nothing in this Section shall preclude the Agency from collecting
fees under Section 22.8 (g) of this Act. Generators of nonhazardous special
waste shall not be required to file reports with the Agency regarding the
shipment of nonhazardous special waste within the State of Illinois;
provided, however, that the Board may require generators of nonhazardous
special waste to file annual reports with the Agency regarding the shipment
of nonhazardous special waste out-of-state.
Commencing February 1, 1992, and annually thereafter, facilities
accepting nonhazardous special waste shall file a report with the Agency,
specifying the quantities and disposition of nonhazardous special
waste accepted for treatment, storage or disposal during the previous calendar year.
Nothing in this Section shall be interpreted or construed to prohibit
any company treating, storing or disposing of
nonhazardous special wastes
from requiring manifests to be submitted to it for such wastes.
This Section does not apply to potentially infectious medical waste.
(Source: P.A. 101-145, eff. 7-26-19.)
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(415 ILCS 5/22.02) Sec. 22.02. Manifests for hazardous waste. Except to the extent required by federal law, generators and transporters of hazardous waste and facilities accepting hazardous waste are not required to submit copies of hazardous waste manifests to the Agency. Nothing in this Section precludes the Agency from collecting fees under subsection (g) of Section 22.8 of this Act.
(Source: P.A. 99-55, eff. 7-16-15.) |
(415 ILCS 5/22.2) (from Ch. 111 1/2, par. 1022.2)
Sec. 22.2. Hazardous waste; fees; liability.
(a) There are hereby created within the State Treasury 2
special funds to be known respectively as the "Hazardous Waste Fund" and
the "Hazardous Waste Research Fund", constituted from the fees collected
pursuant to this Section.
In addition to the fees collected under this Section, the Hazardous Waste
Fund shall include other moneys made available from any source for deposit into
the Fund.
(b)(1) On and after January 1, 1989, the Agency shall | ||
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(A) 9 cents per gallon or $18.18 per cubic yard, | ||
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(B) 9 cents or $18.18 per cubic yard, if the | ||
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(C) If the hazardous waste disposal site is an | ||
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(D) 3 cents per gallon or $6.06 per cubic yard of | ||
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(2) The General Assembly shall annually appropriate | ||
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(3) The Agency shall have the authority to accept, | ||
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(4) Of the amount collected as fees provided for in | ||
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(5) Notwithstanding the other provisions of this | ||
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(6) For the purposes of this subsection (b), | ||
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(c) The Agency shall establish procedures, not later than January 1,
1984, relating to the collection of the fees authorized by this Section.
Such procedures shall include, but not be limited to: (1) necessary records
identifying the quantities of hazardous waste received or disposed; (2) the
form and submission of reports to accompany the payment of fees to the
Agency; and (3) the time and manner of payment of fees to the Agency,
which payments shall be not more often than quarterly.
(d) Beginning July 1, 1996, the Agency shall deposit all such receipts in the State Treasury to the credit of the
Hazardous Waste Fund, except as provided in subsection (e) of this Section.
All monies in the Hazardous Waste Fund shall be used by the Agency for the following purposes:
(1) Taking whatever preventive or corrective action | ||
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(2) To meet any requirements which must be met by the | ||
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(3) In an amount up to 30% of the amount collected as | ||
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(4) To fund the development and implementation of the | ||
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(5) To the extent the Agency has received and | ||
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(6) In an amount up to 15% of the fees collected | ||
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(e) The Agency shall deposit 10% of all receipts collected under subsection
(b) of this Section, but not to exceed $200,000 per year, in the State
Treasury to the credit of the Hazardous Waste Research Fund established by this
Act. Pursuant to appropriation, all monies in such Fund shall be used by the University of Illinois
for the purposes set forth in
this subsection.
The University of Illinois may enter into contracts with business,
industrial, university, governmental or other qualified individuals or
organizations to assist in the research and development intended to recycle,
reduce the volume of, separate, detoxify or reduce the hazardous properties of
hazardous wastes in Illinois. Monies in the Fund may also be used by the University of Illinois
for technical studies, monitoring activities,
and educational and research activities which are related to the protection of
underground waters. Monies in the Hazardous Waste Research Fund may be used to
administer the Illinois Health and Hazardous Substances Registry Act. Monies
in the Hazardous Waste Research Fund shall not be used for any sanitary
landfill or the acquisition or construction of any facility. This does not
preclude the purchase of equipment for the purpose of public demonstration
projects. The University of Illinois shall adopt guidelines for cost
sharing, selecting, and administering projects under this subsection.
(f) Notwithstanding any other provision or rule of law, and subject
only to the defenses set forth in subsection (j) of this Section, the
following persons shall be liable for all costs of removal or remedial
action incurred by the State of Illinois or any unit of local
government as a result of a release or substantial threat of a release of
a hazardous substance or pesticide:
(1) the owner and operator of a facility or vessel | ||
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(2) any person who at the time of disposal, | ||
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(3) any person who by contract, agreement, or | ||
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(4) any person who accepts or accepted any hazardous | ||
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Any monies received by the State of Illinois pursuant to this
subsection (f) shall be deposited in the State Treasury to the credit
of the Hazardous Waste Fund.
In accordance with the other provisions of this Section, costs of
removal or remedial action incurred by a unit of local government may be
recovered in an action before the Board brought by the unit of local
government under subsection (i) of this Section. Any monies so recovered
shall be paid to the unit of local government.
(g)(1) No indemnification, hold harmless, or similar | ||
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(2) Nothing in this Section, including the provisions | ||
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(h) For purposes of this Section:
(1) The term "facility" means:
(A) any building, structure, installation, | ||
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(B) any site or area where a hazardous substance | ||
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(2) The term "owner or operator" means:
(A) any person owning or operating a vessel or | ||
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(B) in the case of an abandoned facility, any | ||
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(C) in the case of a land trust as defined in | ||
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(D) in the case of a fiduciary (other than a land | ||
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(E) in the case of a "financial institution", | ||
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(F) In the case of an owner of residential | ||
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(G) In the case of any facility, title or control | ||
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(H) The term "owner or operator" does not include | ||
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(i) The costs and damages provided for in this Section may be imposed by
the Board in an action brought before the Board in accordance with Title
VIII of this Act, except that Section 33(c) of this Act shall not apply to
any such action.
(j)(1) There shall be no liability under this Section for a person
otherwise liable who can establish by a preponderance of the evidence that
the release or substantial threat of release of a hazardous substance and
the damages resulting therefrom were caused solely by:
(A) an act of God;
(B) an act of war;
(C) an act or omission of a third party other than an | ||
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(D) any combination of the foregoing paragraphs.
(2) There shall be no liability under this Section for any release
permitted by State or federal law.
(3) There shall be no liability under this Section for damages as a result
of actions taken or omitted in the course of rendering care, assistance,
or advice in accordance with this Section or the National Contingency Plan
pursuant to the Comprehensive Environmental Response, Compensation and
Liability Act of 1980 (P.L. 96-510) or at the direction of an
on-scene coordinator appointed under such plan, with respect to an incident
creating a danger to public health or welfare or the environment as a result
of any release of a hazardous substance or a substantial threat thereof. This
subsection shall not preclude liability for damages as the result of gross
negligence or intentional misconduct on the part of such person. For the
purposes of the preceding sentence, reckless, willful, or wanton misconduct
shall constitute gross negligence.
(4) There shall be no liability under this Section for any person
(including, but not limited to, an owner of residential property who applies a
pesticide to the residential property or who has another person apply a
pesticide to the residential property) for response costs or damages as the
result of the storage, handling and use, or recommendation for storage,
handling and use, of a pesticide consistent with:
(A) its directions for storage, handling and use as | ||
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(B) its warnings and cautions as stated in its label | ||
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(C) the uses for which it is registered under the | ||
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(4.5) There shall be no liability under subdivision (f)(1) of this Section
for response costs or damages as the result of a release
of a pesticide from an agrichemical facility site if
the Agency has received notice from the Department of Agriculture pursuant to
Section 19.3 of the Illinois Pesticide Act, the owner or operator of the
agrichemical facility is proceeding with a corrective action plan under the
Agrichemical Facility Response Action Program implemented under that Section,
and the Agency
has provided a written endorsement of a corrective action plan.
(4.6) There shall be no liability under subdivision (f)(1) of this
Section for response costs or damages as the result of a substantial threat of
a release of a pesticide from an agrichemical facility site if
the Agency has received notice from the Department of Agriculture pursuant to
Section 19.3 of the Illinois Pesticide Act and the owner or operator of the
agrichemical facility is proceeding with a corrective action plan under the
Agrichemical Facility Response Action Program implemented under that
Section.
(5) Nothing in this subsection (j) shall affect or modify in any way the
obligations or liability of any person under any other provision of this
Act or State or federal law, including common law, for damages, injury,
or loss resulting from a release or substantial threat of a release of any
hazardous substance or for removal or remedial action or the costs of removal
or remedial action of such hazardous substance.
(6)(A) The term "contractual relationship", for the purpose of this
subsection includes, but is not limited to, land contracts, deeds or other
instruments transferring title or possession, unless the real property on
which the facility concerned is located was acquired by the defendant after
the disposal or placement of the hazardous substance on, in, or at the
facility, and one or more of the circumstances described in clause (i),
(ii), or (iii) of this paragraph is also established by the defendant by a
preponderance of the evidence:
(i) At the time the defendant acquired the facility | ||
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(ii) The defendant is a government entity which | ||
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(iii) The defendant acquired the facility by | ||
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In addition to establishing the foregoing, the defendant must establish
that he has satisfied the requirements of subparagraph (C) of paragraph (1)
of this subsection (j).
(B) To establish the defendant had no reason to know, as provided in
clause (i) of subparagraph (A) of this paragraph, the defendant must have
undertaken, at the time of acquisition, all appropriate inquiry into the
previous ownership and uses of the property consistent with good commercial
or customary practice in an effort to minimize liability. For purposes of
the preceding sentence, the court shall take into account any specialized
knowledge or experience on the part of the defendant, the relationship of
the purchase price to the value of the property if uncontaminated, commonly
known or reasonably ascertainable information about the property, the
obviousness of the presence or likely presence of contamination at the
property, and the ability to detect such contamination by appropriate
inspection.
(C) Nothing in this paragraph (6) or in subparagraph (C) of paragraph
(1) of this subsection shall diminish the liability of any previous owner
or operator of such facility who would otherwise be liable under this Act.
Notwithstanding this paragraph (6), if the defendant obtained actual
knowledge of the release or threatened release of a hazardous substance at
such facility when the defendant owned the real property and then
subsequently transferred ownership of the property to another person
without disclosing such knowledge, such defendant shall be treated as
liable under subsection (f) of this Section and no defense under
subparagraph (C) of paragraph (1) of this subsection shall be available
to such defendant.
(D) Nothing in this paragraph (6) shall affect the liability under this
Act of a defendant who, by any act or omission, caused or contributed to
the release or threatened release of a hazardous substance which is the
subject of the action relating to the facility.
(E)(i) Except as provided in clause (ii) of this subparagraph (E), a
defendant who has acquired real property shall have established a rebuttable
presumption against all State claims and a conclusive presumption against all
private party claims that the defendant has made all appropriate inquiry within
the meaning of subdivision (6)(B) of this subsection (j) if the defendant
proves that immediately prior to or at the time of the acquisition:
(I) the defendant obtained a Phase I Environmental | ||
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(II) the defendant obtained a Phase II Environmental | ||
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(ii) No presumption shall be created under clause (i) of this subparagraph
(E), and a defendant shall be precluded from demonstrating that the defendant
has made all appropriate inquiry within the meaning of subdivision (6)(B) of
this subsection (j), if:
(I) the defendant fails to obtain all Environmental | ||
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(II) a Phase I Environmental Audit discloses the | ||
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(III) a Phase II Environmental Audit discloses the | ||
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(IV) the defendant fails to maintain a written | ||
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(V) there is any evidence of fraud, material | ||
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(iii) For purposes of this subparagraph (E), the term "environmental
professional" means an individual (other than a practicing attorney) who,
through academic training, occupational experience, and reputation (such as
engineers, industrial hygienists, or geologists) can objectively conduct one or
more aspects of an Environmental Audit and who either:
(I) maintains at the time of the Environmental Audit | ||
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(II) is an Illinois licensed professional engineer or | ||
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An environmental professional may employ persons who are not environmental
professionals to assist in the preparation of an Environmental Audit if such
persons are under the direct supervision and control of the environmental
professional.
(iv) For purposes of this subparagraph (E), the term "real property"
means any interest in any parcel of land, and includes, but is not limited to,
buildings, fixtures, and
improvements.
(v) For purposes of this subparagraph (E), the term "Phase I Environmental
Audit" means an investigation of real property, conducted by environmental
professionals, to discover the presence or likely presence of a release or a
substantial threat of a release of a hazardous substance or pesticide at, on,
to, or from real property, and whether a release or a substantial threat of
a release of a hazardous substance or pesticide has occurred or may occur at,
on, to, or from the real property. Until such time as the United
States Environmental Protection Agency establishes
standards for making appropriate inquiry into the previous
ownership and uses of the facility pursuant to 42 U.S.C.
Sec. 9601(35)(B)(ii), the investigation shall comply with the
procedures of the American Society for Testing and
Materials, including the document known as Standard
E1527-97, entitled "Standard Procedures for Environmental
Site Assessment: Phase 1 Environmental Site Assessment
Process". Upon their adoption, the standards promulgated
by USEPA pursuant to 42 U.S.C. Sec. 9601(35)(B)(ii) shall
govern the performance of Phase I Environmental Audits. In
addition to the above requirements, the Phase I
Environmental Audit shall include a review of recorded land
title records for the purpose of determining whether the real
property is subject to an environmental land use restriction
such as a No Further Remediation Letter, Environmental
Land Use Control, or Highway Authority Agreement.
(vi) For purposes of subparagraph (E), the term "Phase II Environmental
Audit" means an investigation of real property, conducted by environmental
professionals, subsequent to a Phase I Environmental Audit. If the Phase I
Environmental Audit discloses the presence or likely presence of a hazardous
substance or a pesticide or a release or a substantial threat of a release of
a hazardous substance or pesticide:
(I) In or to soil, the defendant, as part of the | ||
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(II) In or to groundwater, the defendant, as part of | ||
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(III) On or to media other than soil or groundwater, | ||
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(vii) The findings of each Environmental Audit prepared under this
subparagraph (E) shall be set forth in a written audit report. Each audit
report shall contain an affirmation by the defendant and by each environmental
professional who prepared the Environmental Audit that the facts stated in the
report are true and are made under a penalty of perjury as defined in Section
32-2 of the Criminal Code of 2012. It is perjury for any person to sign an
audit report that contains a false material statement that the person does not
believe to be true.
(viii) The Agency is not required to review, approve, or certify the results
of any Environmental Audit. The performance of an Environmental Audit shall in
no way entitle a defendant to a presumption of Agency approval or certification
of the results of the Environmental Audit.
The presence or absence of a disclosure document prepared under the
Responsible Property Transfer Act of 1988 shall not be a defense under this
Act and shall not satisfy the requirements of subdivision (6)(A) of this
subsection (j).
(7) No person shall be liable under this Section for response costs
or damages as the result of a pesticide release if the Agency has found
that a pesticide release occurred based on a Health Advisory issued by the
U.S. Environmental Protection Agency or an action level developed by the
Agency, unless the Agency notified the manufacturer of the pesticide and
provided an opportunity of not less than 30 days for the manufacturer to
comment on the technical and scientific justification supporting the Health
Advisory or action level.
(8) No person shall be liable under this Section for response costs or
damages as the result of a pesticide release that occurs in the course of a
farm pesticide collection program operated under Section 19.1 of the
Illinois Pesticide Act, unless the release results from gross negligence or
intentional misconduct.
(k) If any person who is liable for a release or substantial threat of
release of a hazardous substance or pesticide fails without sufficient
cause to provide removal or remedial action upon or in accordance with a
notice and request by the Agency or upon or in accordance with any order of
the Board or any court, such person may be liable to the State for punitive
damages in an amount at least equal to, and not more than 3 times, the
amount of any costs incurred by the State of Illinois as a result of such
failure to take such removal or remedial action. The punitive damages
imposed by the Board shall be in addition to any costs recovered from such
person pursuant to this Section and in addition to any other penalty or
relief provided by this Act or any other law.
Any monies received by the State pursuant to this subsection (k) shall
be deposited in the Hazardous Waste Fund.
(l) Beginning January 1, 1988, and prior to January 1, 2013, the Agency shall annually collect a $250
fee for each Special Waste Hauling Permit Application and, in addition,
shall collect a fee of $20 for each waste hauling vehicle identified in the
annual permit application and for each vehicle which is added to the permit
during the annual period. Beginning January 1, 2013, the Agency shall issue 3-year Special Waste Hauling Permits instead of annual Special Waste Hauling Permits and shall collect a $750 fee for each Special Waste Hauling Permit Application. In addition, beginning January 1, 2013, the Agency shall collect a fee of $60 for each waste hauling vehicle identified in the permit application and for each vehicle that is added to the permit during the 3-year period. The Agency shall deposit 85% of such fees
collected under this subsection in the State Treasury to the credit of
the Hazardous Waste Research Fund; and shall deposit the remaining 15% of
such fees collected in the State Treasury to the credit of the
Environmental Protection Permit and Inspection Fund. The majority of such
receipts which are deposited in the Hazardous Waste Research Fund pursuant
to this subsection shall be used by the University of Illinois for
activities which relate to the protection of underground waters.
(l-5) (Blank).
(m) (Blank).
(n) (Blank).
(Source: P.A. 97-220, eff. 7-28-11; 97-1081, eff. 8-24-12; 97-1150, eff. 1-25-13; 98-78, eff. 7-15-13; 98-756, eff. 7-16-14 .)
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(415 ILCS 5/22.2a) (from Ch. 111 1/2, par. 1022.2a)
Sec. 22.2a.
(a) Whenever practicable and in the public interest, the
State of Illinois shall reach a final settlement with a potentially
responsible party in an administrative action brought before the Board or a
civil action brought before a court to establish liability and recover
response costs under Section 22.2 if such settlement involves only a minor
portion of the response costs at the facility concerned and, in the
judgment of the State of Illinois, the conditions in either of the
following subparagraphs (1) or (2) are met:
(1) Both (i) the amount of the hazardous substances contributed by that
party to the facility, and (ii) the toxic or other hazardous effects of the
substances contributed by that party to the facility, are minimal in
comparison to the other hazardous substances at the facility.
(2) The potentially responsible party (i) is the owner of the real
property on or in which the facility is located; (ii) did not conduct or
permit the generation, transportation, storage, treatment, or disposal of
any hazardous substance at the facility; (iii) did not contribute to the
release or threat of release of a hazardous substance at the facility
through any action or omission; and (iv) did not purchase the real property
with actual or constructive knowledge that the property was used for the
generation, transportation, storage, treatment, or disposal of any hazardous
substance.
(b) The State of Illinois may provide a covenant not to sue with
respect to the facility concerned to any party who has entered into a
settlement under this Section unless such a covenant would be inconsistent
with the public interest.
A party which has resolved its liability to the State through a settlement
under this Section shall not be liable for claims for contribution
regarding matters addressed in the settlement. Such a settlement does not
discharge any of the other potentially responsible parties unless its terms
so provide, but it shall reduce the total potential liability of the other
potentially responsible parties by the amount of the settlement.
(c) Nothing in this Section shall be construed to affect the authority
of the State to reach other settlements with other potentially responsible parties.
(Source: P.A. 86-679.)
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(415 ILCS 5/22.2b)
Sec. 22.2b.
Limit of liability for prospective purchasers of real property.
(a) The State of Illinois may grant a release of liability that provides
that a person is not potentially liable under subsection (f) of Section 22.2 of this Act as a result of a release or a threatened release of
a hazardous substance or pesticide if:
(1) the person performs the response actions to | ||
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(2) the person did not cause, allow, or contribute to | ||
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(3) the person requests, in writing, that the Agency | ||
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(4) the person is not otherwise liable under | ||
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(b) The Agency may approve a response action plan under this Section,
including but not limited to a response action plan that does not require the
removal or remedy of all releases or threatened releases of hazardous
substances or pesticides, if the person described under subsection (a)
proves:
(1) the response action will prevent or mitigate | ||
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(2) activities at the property will not cause, allow, | ||
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(3) due consideration has been given to the effect | ||
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(4) irrevocable access to the property is given to | ||
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(5) the person is financially capable of performing | ||
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(6) the person complies with regulations adopted by | ||
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(c) The limit of liability granted by the State of Illinois under this
Section does not apply to any person:
(1) Who is potentially liable under subsection (f) of | ||
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(2) Who agrees to perform the response action | ||
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(3) Whose willful and wanton conduct contributes to a | ||
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(4) Whose negligent conduct contributes to a release | ||
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(5) Who is seeking a construction or development | ||
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(d) If a release or threatened release of a hazardous
substance or pesticide occurs within the area identified in the response action
plan approved by the Agency under this Section and such release or threatened
release is not specifically identified in the response action plan, for any
person to whom this Section applies, the numeric cleanup level established by
the Agency in the response action plan shall also apply to the release or
threatened release not specifically identified in the response action plan if
the response action plan has a numeric cleanup level for the hazardous
substance or pesticide released or threatened to be released. Nothing in this
subsection (d) shall limit the authority of the Agency to require, for any
person to whom this Section does not apply, a numeric cleanup level that
differs from the numeric cleanup level established in the response action plan
approved by the Agency under this Section.
(e) The Agency may adopt regulations relating to this Section. The
regulations may include, but are not limited to, both of the
following:
(1) Requirements and procedures for a response action | ||
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(2) Additional requirements that a person must meet | ||
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(Source: P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/22.2c)
Sec. 22.2c.
Adjacent site remediation; injunction.
If remediation of real
property contaminated by hazardous substances or
petroleum products cannot be reasonably accomplished without entering onto land
adjoining the site from which those substances were released, and if the owner
of the adjoining land refuses to permit entry onto the adjoining land for the
purpose of effecting remediation, then the owner or operator of the site may
bring an action to compel the owner of the adjoining land to
permit immediate entry for purposes relating to the remediation of the site,
the adjoining land, and any other real property that may be contaminated with
the hazardous substances or petroleum products. The court shall prescribe the
conditions of the entry and shall determine the amount of damages, if any, to
be paid to
the owner of the adjoining land as compensation for the entry. The court may
require the owner or operator
who is seeking entry to give bond to the owner of the adjoining land to secure
performance and payment.
(Source: P.A. 89-164, eff. 7-19-95.)
|
(415 ILCS 5/22.2d) Sec. 22.2d. Authority of Director to issue orders.
(a) The purpose of this Section is to allow the Director to quickly and effectively respond to a release or substantial threat of a release of a hazardous substance, pesticide, or petroleum for which the Agency is required to give notice under Section 25d-3(a) of this Act by authorizing the Director to issue orders, unilaterally or on consent, requiring appropriate response actions and by providing for the exclusive administrative and judicial review of these orders. This Section is also intended to allow persons subject to an order under this Section to recover the costs of complying with the order if it is overturned or if they remediate the share of a release or threat of a release for which a bankrupt or insolvent party is liable under this Act. (b) In addition to any other action taken by federal, State, or local government, for any release or substantial threat of release for which the Agency is required to give notice under Section 25d-3(a) of this Act, the Director may issue to any person who is potentially liable under this Act for the release or substantial threat of release any order that may be necessary to protect the public health and welfare and the environment. (1) Any order issued under this Section shall require | ||
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(2) Before the Director issues any order under this | ||
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(A) that the Agency believes the recipient may be | ||
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(B) the reasons why the Agency believes the | ||
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(C) the period of time, not less than 30 days | ||
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(3) To encourage the prompt negotiation of a | ||
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(c) (1) The recipient of a unilateral order issued by the Director under this Section may petition the Board for a hearing on the order within 35 days after being served with the order. The Board shall take final action on the petition within 60 days after the date the petition is filed with the Board unless all parties to the proceeding agree to the extension. If necessary to expedite the hearing and decision, the Board may hold special meetings of the Board and may provide for alternative public notice of the hearing and meeting, other than as otherwise required by law. In any hearing on the order the Agency shall have the burden of proof to establish that the petitioner is liable under this Act for the release or threat of release and that the actions required by the order are consistent with the requirements of subsection (b)(1) of this Section. The Board shall sustain the order if the petitioner is liable under this Act for the release or threat of release and to the extent the actions ordered are consistent with the requirements of subsection (b)(1) of this Section and are not otherwise unreasonable under the circumstances. (A) The order issued by the Agency shall remain in | ||
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(B) If the Board finds that the petitioner is not | ||
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(2) Any party to a Board hearing under this subsection (c) may obtain judicial review, by filing a petition for review within 35 days from the date that a copy of the Board's final action sought to be reviewed was served upon the party affected by the final Board action complained of, under the provisions of the Administrative Review Law and the rules adopted pursuant thereto, except that the review shall be afforded in the appellate court for the district in which the cause of action arose and not in the circuit court. The appellate court shall retain jurisdiction during the pendency of any further action conducted by the Board under an order by the appellate court. The appellate court shall have jurisdiction to review all issues of law and fact presented upon appeal. (A) The order issued by the Agency shall remain in | ||
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(B) If the appellate court finds that the petitioner | ||
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(d) Any person who receives and complies with the terms of any order issued under this Section may, within 60 days after completion of the required action, petition the Director for reimbursement for the reasonable costs of that action, plus interest, subject to all of the following terms and conditions: (1) The interest payable under this subsection | ||
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(2) If the Director refuses to grant all or part of a | ||
| ||
(3) To obtain reimbursement, the petitioner must | ||
| ||
(A) the only costs for which the petitioner seeks | ||
| ||
(B) the petitioner's response actions were | ||
| ||
(C) the costs for which the petitioner seeks | ||
| ||
(4) Reimbursement awarded by the Board under item (3) | ||
| ||
(5) Costs paid to a petitioner under a policy of | ||
| ||
(e) Except as otherwise provided in subsection (c) of this Section, no court nor the Board has jurisdiction to review any order issued under this Section or any administrative or judicial action related to the order.
(f) Except as provided in subsection (g) of this Section, any person may seek contribution from any other person who is liable for the costs of response actions under this Section. In resolving contribution claims, the Board or court may allocate response costs among liable parties using such equitable factors as the court determines are appropriate.
(g) A person who has complied with an order under this Section and has resolved their liability under this Act with respect to the release or threat of a release shall not be liable for claims for contribution relating to the release or threat of a release. (h) The provisions of Section 58.9 of this Act do not apply to any action taken under this Section.
(i) This Section does not apply to releases or threats of releases from underground storage tanks subject to Title XVI of this Act. Orders issued by the Agency in response to such releases or threats of releases shall be issued under Section 57.12(d) of this Act instead of this Section, and the costs of complying with said orders shall be reimbursed in accordance with Title XVI of this Act instead of this Section.
(j) Any person who, without sufficient cause, willfully violates or fails or refuses to comply with any order issued under this Section is in violation of this Act.
(k) The Agency may adopt rules as necessary for the implementation of this Section.
(Source: P.A. 94-314, eff. 7-25-05.) |
(415 ILCS 5/22.3) (from Ch. 111 1/2, par. 1022.3)
Sec. 22.3.
The owner and operator of a hazardous waste disposal site
shall, without limitation, be responsible for the site for a period of 20
years after closure of the site, or such longer period of time as required by
the federal Resource Conservation and Recovery Act of 1976, P.L. 94-580,
or regulations issued thereunder, or by Board regulation adopted pursuant
to subsection 22(a) or (f) of this Act. The owner and operator shall monitor
such site for gas migration, drainage problems, erosion, settling, ground
and surface water pollution and other environmental and safety problems
which occur, and shall take whatever remedial action is necessary to solve
any such problems which occur at the site during the period of
responsibility. Notwithstanding the provisions of this Section, nothing
contained herein shall be construed to limit any duties or liabilities
imposed on an owner or operator of a solid waste disposal site pursuant to
this Act or regulations thereunder or arising by operation of law.
(Source: P.A. 81-856.)
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(415 ILCS 5/22.3a)
Sec. 22.3a.
Expedited review of hazardous waste corrective action.
(a) It is the intent of this Section to promote an expedited RCRA
hazardous waste corrective action review process.
(b) The owner or operator of a hazardous waste facility performing
corrective action pursuant to the federal Resource Conservation and Recovery
Act of 1976 or regulations issued thereunder, or analogous State law or
regulations, may request from the Agency an expedited review of that
corrective action. Within a reasonable time, the Agency shall respond in
writing, indicating whether the Agency will perform expedited review.
(c) An owner or operator approved by the Agency for an expedited review
under this Section shall pay to the Agency all reasonable costs the Agency
incurs in its review of the owner's or operator's corrective action activities
(including but not limited to investigations, monitoring, and cleanup of
releases of hazardous waste or hazardous constituents). Prior to any Agency
review, the owner or operator shall make an advance partial payment to the
Agency for anticipated review costs in an amount acceptable to the Agency, but
not to exceed $5,000 or one-half of the total anticipated costs of the Agency,
whichever is less. All amounts paid to the Agency pursuant to this Section
shall be deposited into the Environmental Protection Permit and Inspection
Fund.
(d) The Agency's expedited review under this Section shall include, but need
not be limited to: review of the owner's or operator's corrective action plans,
reports, documents, and associated field activities; issuance of corrective
action decision documents; and issuance of letters certifying the completion
of corrective action activities or discrete portions thereof.
(e) The Agency may cease its expedited review under this Section if an owner
or operator fails to pay the Agency's review costs when due.
(f) An owner or operator approved by the Agency for an expedited review
under this Section may withdraw its request for an expedited review at any
time by providing the Agency with written notification of its withdrawal; but
the owner or operator shall be responsible to pay all expedited review costs
incurred by the Agency through the date of withdrawal.
(Source: P.A. 93-260, eff. 7-22-03.)
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(415 ILCS 5/22.4) (from Ch. 111 1/2, par. 1022.4)
Sec. 22.4.
Hazardous waste; underground storage tanks; regulations.
(a) In accordance with Section 7.2, the Board shall
adopt regulations which are identical in substance to federal regulations
or amendments thereto promulgated by the Administrator of the United States
Environmental Protection Agency to implement Sections 3001, 3002, 3003,
3004, and 3005, of the Resource Conservation and Recovery Act of 1976 (P.L.
94-580). The Board may consolidate into a single rulemaking under this
Section all such federal regulations adopted within a period of time not to
exceed 6 months. The provisions and requirements of Title VII of this Act
shall not apply to rules adopted under this subsection. Section 5-35
of the Illinois Administrative Procedure Act relating to procedures for
rulemaking shall not apply to rules adopted under this subsection.
(b) The Board may adopt regulations relating to a State hazardous waste
management program that are not inconsistent with and at least as stringent
as the Resource Conservation and Recovery Act of 1976 (P.L. 94-580), or
regulations adopted thereunder. Regulations adopted pursuant
to this subsection shall be adopted in accordance with the provisions and
requirements of Title VII of this Act and the procedures for rulemaking
in Section 5-35 of the Illinois Administrative Procedure Act.
(c) Notwithstanding subsection (a) of this Section, the Board may adopt
additional regulations identifying the characteristics of hazardous waste and
additional regulations listing hazardous waste. In adopting such regulations,
the Board shall take into account the toxicity, persistence, and degradability
in nature, the potential for accumulation in tissue, and other related factors
such as flammability, corrosiveness, and other hazardous characteristics.
The regulations may be revised from time to time as may be appropriate.
Regulations adopted pursuant to this subsection shall be adopted in accordance
with the provisions and requirements of this Act and the procedures for
rulemaking in Section 5-35 of the Illinois Administrative Procedure Act.
(d) (1) In accordance with Section 7.2, after the adoption of
regulations by the United States Environmental Protection Agency to
implement Section 9003 of Subtitle I of the Hazardous and Solid Waste
Amendments of 1984 (P.L. 98-616) of the Resource Conservation and Recovery
Act of 1976 (P.L. 94-580), or any amendments to such regulations, the Board
shall adopt regulations relating to corrective action at underground
storage tanks that are identical in substance to such federal regulations.
(2) The rulemaking provisions of Title VII of this Act and of Section
5-35 of the Illinois Administrative Procedure Act shall not apply to
regulations or amendments adopted pursuant to this subsection (d).
(3) For purposes of adopting regulations or amendments thereto under
this subsection (d), corrective action shall not include requirements
providing for design, construction, installation, general operation,
release detection, release reporting, release determination investigation,
release confirmation, out-of-service systems and their closure or financial
responsibility.
(4) By January 1, 1992, the Board shall amend its rules pertaining to
underground storage tanks adopted under paragraph (1) of this subsection to
make those rules applicable to any heating oil underground storage tank.
(Source: P.A. 87-323; 87-1088; 88-45.)
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(415 ILCS 5/22.5) (from Ch. 111 1/2, par. 1022.5)
Sec. 22.5.
By July 1, 1984, the Board shall adopt standards
for the certification of personnel to operate refuse disposal facilities
or sites. Such standards shall provide for, but shall not be limited to,
an evaluation of the prospective operator's prior experience in waste
management operations. The Board may provide for denial of certification
if the prospective operator or any employee or officer of the prospective
operator has a history of
(i) repeated violations of federal, State or local laws, regulations,
standards, or ordinances regarding the operation of refuse disposal facilities or sites;
(ii) conviction in this or another State of any crime which is a felony
under the laws of this State or conviction of a felony in a federal court; or
(iii) proof of gross carelessness or incompetence in handling, storing,
processing, transporting or disposing of any hazardous waste.
(Source: P.A. 83-1362.)
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(415 ILCS 5/22.6) (from Ch. 111 1/2, par. 1022.6)
Sec. 22.6.
(a) Commencing July 1, 1984, no person shall cause, threaten
or allow the disposal in any landfill of any liquid hazardous waste unless
specific authorization is obtained from the Agency by the generator and the
landfill owner and operator for the land disposal of that specific waste stream.
(b) The Board shall have the authority to adopt regulations which
prohibit or set limitations on the type, amount and form of liquid hazardous
wastes that may be disposed of in landfills based on the availability of
technically feasible and economically reasonable alternatives to land disposal.
(c) The Agency may grant specific authorization for the land disposal
of liquid hazardous wastes only after the generator has reasonably demonstrated
that, considering current technological feasibility and economic reasonableness,
the hazardous waste cannot be reasonably solidified, stabilized, or recycled
for reuse, nor incinerated or chemically, physically or biologically treated
so as to neutralize the hazardous waste and render it nonhazardous, and
that land disposal is not prohibited or limited by Board regulations. In
granting authorization under this Section, the Agency may impose such
conditions as may be necessary to accomplish the purposes of this Act and
which are consistent with Board regulations. If the Agency refuses to
grant authorization under this Section, the applicant may appeal as if the
Agency refused to grant a permit pursuant to the provisions of subsection
(a) of Section 40 of this Act.
(d) For purposes of this Section, the term "landfill" means a disposal
facility or part of a facility where hazardous waste is placed in or on
land and which is not a land treatment facility, a surface impoundment or
an underground injection well.
(Source: P.A. 83-1078.)
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(415 ILCS 5/22.7) (from Ch. 111 1/2, par. 1022.7)
Sec. 22.7.
(a) (Blank).
(b) The Board may adopt regulations relating to a state contingency plan
which are not identical in substance to federal regulations promulgated by
the Administrator of the United States Environmental Protection Agency to
implement Section 105 of the comprehensive Environmental Response,
Compensation, and Liability Act of 1980 (P.L. 96-510), as amended.
Regulations adopted pursuant to this subsection shall be adopted in
accordance with the provisions and requirements of Title VII of this Act
and the procedures for rulemaking in Section 5-35 of the Illinois
Administrative Procedure Act.
(c) Nothing in this Section shall limit the authority of the Agency to
enforce or implement any provision of this Act, including but not limited
to Section 4 or 22.2 of this Act, prior to the adoption of regulations by
the Board under this Section.
(Source: P.A. 89-431, eff. 12-15-95; 89-443, eff. 7-1-96.)
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(415 ILCS 5/22.8) (from Ch. 111 1/2, par. 1022.8)
Sec. 22.8. Environmental Protection Permit and Inspection Fund.
(a) There is hereby created in the State Treasury a special fund to be known
as the Environmental Protection Permit and Inspection Fund. All fees collected
by the Agency pursuant to this Section, Section 9.6, 12.2, 16.1, 56.4, 56.5, 56.6, and subsection (f) of Section 5 of this
Act, or pursuant to Section 22 of the Public Water Supply Operations Act or Section 1011 of the Solid Waste Site Operator Certification Law, as well as
funds collected under subsection (b.5) of Section 42 of this Act,
shall be deposited into the Fund. In addition to any monies appropriated
from the General Revenue Fund, monies in the Fund shall be appropriated
by the General Assembly to the Agency in amounts deemed necessary for
manifest, permit, and inspection activities and for performing its functions, powers, and duties under the Solid Waste Site Operator Certification Law.
The General Assembly may appropriate monies in the Fund deemed necessary
for Board regulatory and adjudicatory proceedings.
(a-5) (Blank). (a-6) (Blank). (b) The Agency shall collect from the
owner or operator of any of the following types of hazardous waste disposal
sites or management facilities which require a RCRA permit under subsection
(f) of Section 21 of this Act, or a UIC permit under subsection (g) of Section
12 of this Act, an annual fee in the amount of:
(1) $35,000 ($70,000 beginning in 2004) for a | ||
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(2) $9,000 ($18,000 beginning in 2004) for a | ||
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(3) $7,000 ($14,000 beginning in 2004) for a | ||
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(4) $2,000 ($4,000 beginning in 2004) for a hazardous | ||
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(5) $1,000 ($2,000 beginning in 2004) for a hazardous | ||
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(6) $1,000 ($2,000 beginning in 2004) for a hazardous | ||
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(7) $250 ($500 beginning in 2004) for a hazardous | ||
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(8) Beginning in 2004, $500 for a large quantity | ||
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(c) Where two or more operational units are located within a single
hazardous waste disposal site, the Agency shall collect from the owner or
operator of such site an annual fee equal to the highest fee imposed by
subsection (b) of this Section upon any single operational unit within the
site.
(d) The fee imposed upon a hazardous waste disposal site under this
Section shall be the exclusive permit and inspection fee applicable to
hazardous waste disposal at such site, provided that nothing in this
Section shall be construed to diminish or otherwise affect any fee imposed
upon the owner or operator of a hazardous waste disposal site by Section 22.2.
(e) The Agency shall establish procedures, no later than December 1,
1984, relating to the collection of the hazardous waste disposal site
fees authorized by this Section. Such procedures shall include, but not be
limited to the time and manner of payment of fees to the Agency, which
shall be quarterly, payable at the beginning of each quarter for hazardous
waste disposal site fees. Annual fees required under paragraph (7) of
subsection (b) of this Section shall accompany the annual report required
by Board regulations for the calendar year for which the report applies.
(f) For purposes of this Section, a hazardous waste disposal site
consists of one or more of the following operational units:
(1) a landfill receiving hazardous waste for disposal;
(2) a waste pile or surface impoundment, receiving | ||
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(3) a land treatment facility receiving hazardous | ||
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(4) a well injecting hazardous waste.
(g) The Agency shall assess a fee for each manifest provided by the
Agency. For manifests provided on or after January 1, 1989 but before July 1,
2003, the fee shall be $1 per manifest. For manifests provided on or after
July 1, 2003, the fee shall be $3 per manifest.
(Source: P.A. 102-1071, eff. 6-10-22.)
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(415 ILCS 5/22.9) (from Ch. 111 1/2, par. 1022.9)
Sec. 22.9.
Special waste determinations.
(a) (Blank.)
(b) Not later than December 1, 1990, the Pollution Control Board shall, pursuant
to Title VII of the Act, adopt regulations that establish standards and
criteria for classifying special wastes according to the degree of hazard or
an alternative method.
(c) The Board shall adopt regulations by December 1, 1990,
establishing the standards and criteria by which the Agency may determine
upon written request by any person that a waste or class of waste is not
special waste.
(d) (Blank.)
(e) (Blank.)
(f) The determinations to be made under subsection (c) of this Section shall
not apply to hazardous waste.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/22.10) (from Ch. 111 1/2, par. 1022.10)
Sec. 22.10.
The Agency may issue permits which authorize owners or
operators of treatment, storage and disposal facilities to
receive Agency approved categories of waste from multiple generators.
(Source: P.A. 83-1528.)
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(415 ILCS 5/22.12) (from Ch. 111 1/2, par. 1022.12) (Text of Section before amendment by P.A. 103-1025 ) Sec. 22.12. (a) The Agency shall coordinate with the Office of the State
Fire Marshal in the administration of the Leaking Underground Storage Tank
program, as established in Subtitle I of the Hazardous and Solid Waste
Amendments of 1984 (P.L. 98-616), as amended, of the Resource Conservation
and Recovery Act of 1976 (P.L. 94-580). The Agency shall act as the lead
agency in the formulation of regulations and policies, and shall be
responsible for groundwater monitoring and any necessary site cleanup
requirements encountered under the Resource Conservation and Recovery Act
of 1976, the Comprehensive Environmental Response Compensation and
Liability Act, or the State "Clean Illinois" program. (b) By May 8, 1986, a person who is the owner of an underground storage
tank containing hazardous waste on July 1, 1986 shall register the tank
with the Agency on the form provided by the Agency pursuant to Subtitle I of
The Hazardous and Solid Waste Amendments of 1984 (P.L. 98-616) of the
Resource Conservation and Recovery Act of 1976 (P.L. 94-580), as amended. (c) A person who is the owner of an underground storage tank containing
hazardous waste installed or replaced after July 1, 1986 shall register
prior to the installation of the tank. (d) Except as otherwise provided in subsection (e), a person who is the
owner of an underground storage tank containing hazardous waste registered
under subsection (b) or (c) shall notify the Agency of any change in the
information required under this Section or of the removal of an underground
storage tank from service. (e) A person who is the owner of an underground storage tank containing
hazardous waste the contents of which are changed routinely shall indicate
all the materials which are stored in the tank on the registration form. A
person providing the information described in this subsection is not
required to notify the Agency of changes in the contents of the tank unless
the material to be stored in the tank differs from the information
provided on the registration form. (Source: P.A. 88-496.) (Text of Section after amendment by P.A. 103-1025 ) Sec. 22.12. The Agency shall coordinate with the Office of the State Fire Marshal in the administration of the Leaking Underground Storage Tank program, as established in Subtitle I of the Hazardous and Solid Waste Amendments of 1984 (P.L. 98-616), as amended, of the Resource Conservation and Recovery Act of 1976 (P.L. 94-580). The Agency shall act as the lead agency in the formulation of regulations and policies, and shall be responsible for groundwater monitoring and any necessary site cleanup requirements encountered under the Resource Conservation and Recovery Act of 1976, the Comprehensive Environmental Response Compensation and Liability Act, or the State "Clean Illinois" program. (Source: P.A. 103-1025, eff. 1-1-25.) |
(415 ILCS 5/22.13) (from Ch. 111 1/2, par. 1022.13)
Sec. 22.13.
(Repealed).
(Source: Repealed by P.A. 88-496.)
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(415 ILCS 5/22.14) (from Ch. 111 1/2, par. 1022.14)
Sec. 22.14.
(a) No person may establish any pollution control
facility for use as a garbage transfer station, which is located less than
1000 feet from the nearest property zoned for primarily residential uses
or within 1000 feet of any dwelling, except in counties of at least
3,000,000 inhabitants. In counties of at least 3,000,000 inhabitants, no
person may establish any pollution control facility for use as a
garbage transfer station which is located less than 1000 feet from the
nearest property zoned for primarily residential uses, provided,
however, a station which is located in an industrial area of 10 or more
contiguous acres may be located within 1000 feet but no closer than 800
feet from the nearest property zoned for primarily residential uses.
However, in a county with over 300,000 and less than 350,000 inhabitants,
a station used for the transfer or separation of waste for recycling or
disposal in a sanitary landfill that is located in an industrial area of 10
or more acres may be located within 1000 feet but no closer than 800 feet
from the nearest property zoned for primarily residential uses.
(b) This Section does not prohibit (i) any such facility which is in
existence on January 1, 1988, nor (ii) any facility in existence on January 1,
1988, as expanded before January 1, 1990, to include processing and
transferring of municipal wastes for both recycling and disposal purposes, nor
(iii) any such facility which becomes nonconforming due to a change in zoning
or the establishment of a dwelling which occurs after the establishment of the
facility, nor (iv) any facility established by a municipality with a population
in excess of 1,000,000, nor (v) any transfer facility operating on January 1,
1988. No facility described in item (ii) shall, after July 14, 1995, accept landscape waste
and other municipal waste in the same vehicle load. However, the use of an
existing pollution control facility as a garbage transfer station shall be
deemed to be the establishment of a new facility, and shall be subject to
subsection (a), if such facility had not been used as a garbage transfer
station within one year prior to January 1, 1988.
(Source: P.A. 88-681, eff. 12-22-94; 89-143, eff. 7-14-95; 89-336,
eff. 8-17-95; 89-626, eff. 8-9-96.)
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(415 ILCS 5/22.15) Sec. 22.15. Solid Waste Management Fund; fees. (a) There is hereby created within the State Treasury a special fund to be known as the Solid Waste Management Fund, to be constituted from the fees collected by the State pursuant to this Section, from repayments of loans made from the Fund for solid waste projects, from registration fees collected pursuant to the Consumer Electronics Recycling Act, from fees collected under the Paint Stewardship Act, and from amounts transferred into the Fund pursuant to Public Act 100-433. Moneys received by either the Agency or the Department of Commerce and Economic Opportunity in repayment of loans made pursuant to the Illinois Solid Waste Management Act shall be deposited into the General Revenue Fund. (b) The Agency shall assess and collect a fee in the amount set forth herein from the owner or operator of each sanitary landfill permitted or required to be permitted by the Agency to dispose of solid waste if the sanitary landfill is located off the site where such waste was produced and if such sanitary landfill is owned, controlled, and operated by a person other than the generator of such waste. The Agency shall deposit all fees collected into the Solid Waste Management Fund. If a site is contiguous to one or more landfills owned or operated by the same person, the volumes permanently disposed of by each landfill shall be combined for purposes of determining the fee under this subsection. Beginning on July 1, 2018, and on the first day of each month thereafter during fiscal years 2019 through 2025, the State Comptroller shall direct and State Treasurer shall transfer an amount equal to 1/12 of $5,000,000 per fiscal year from the Solid Waste Management Fund to the General Revenue Fund. (1) If more than 150,000 cubic yards of non-hazardous | ||
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(2) If more than 100,000 cubic yards but not more | ||
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(3) If more than 50,000 cubic yards but not more than | ||
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(4) If more than 10,000 cubic yards but not more than | ||
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(5) If not more than 10,000 cubic yards of | ||
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(c) (Blank). (d) The Agency shall establish rules relating to the collection of the fees authorized by this Section. Such rules shall include, but not be limited to: (1) necessary records identifying the quantities of | ||
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(2) the form and submission of reports to accompany | ||
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(3) the time and manner of payment of fees to the | ||
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(4) procedures setting forth criteria establishing | ||
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(e) Pursuant to appropriation, all monies in the Solid Waste Management Fund shall be used by the Agency for the purposes set forth in this Section and in the Illinois Solid Waste Management Act, including for the costs of fee collection and administration, for administration of the Paint Stewardship Act, and for the administration of the Consumer Electronics Recycling Act, the Drug Take-Back Act, and the Statewide Recycling Needs Assessment Act. (f) The Agency is authorized to enter into such agreements and to promulgate such rules as are necessary to carry out its duties under this Section and the Illinois Solid Waste Management Act. (g) On the first day of January, April, July, and October of each year, beginning on July 1, 1996, the State Comptroller and Treasurer shall transfer $500,000 from the Solid Waste Management Fund to the Hazardous Waste Fund. Moneys transferred under this subsection (g) shall be used only for the purposes set forth in item (1) of subsection (d) of Section 22.2. (h) The Agency is authorized to provide financial assistance to units of local government for the performance of inspecting, investigating, and enforcement activities pursuant to subsection (r) of Section 4 at nonhazardous solid waste disposal sites. (i) The Agency is authorized to conduct household waste collection and disposal programs. (j) A unit of local government, as defined in the Local Solid Waste Disposal Act, in which a solid waste disposal facility is located may establish a fee, tax, or surcharge with regard to the permanent disposal of solid waste. All fees, taxes, and surcharges collected under this subsection shall be utilized for solid waste management purposes, including long-term monitoring and maintenance of landfills, planning, implementation, inspection, enforcement and other activities consistent with the Illinois Solid Waste Management Act and the Local Solid Waste Disposal Act, or for any other environment-related purpose, including, but not limited to, an environment-related public works project, but not for the construction of a new pollution control facility other than a household hazardous waste facility. However, the total fee, tax or surcharge imposed by all units of local government under this subsection (j) upon the solid waste disposal facility shall not exceed: (1) 60¢ per cubic yard if more than 150,000 cubic | ||
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(2) $33,350 if more than 100,000 cubic yards, but not | ||
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(3) $15,500 if more than 50,000 cubic yards, but not | ||
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(4) $4,650 if more than 10,000 cubic yards, but not | ||
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(5) $650 if not more than 10,000 cubic yards of | ||
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The corporate authorities of the unit of local government may use proceeds from the fee, tax, or surcharge to reimburse a highway commissioner whose road district lies wholly or partially within the corporate limits of the unit of local government for expenses incurred in the removal of nonhazardous, nonfluid municipal waste that has been dumped on public property in violation of a State law or local ordinance. For the disposal of solid waste from general construction or demolition debris recovery facilities as defined in subsection (a-1) of Section 3.160, the total fee, tax, or surcharge imposed by all units of local government under this subsection (j) upon the solid waste disposal facility shall not exceed 50% of the applicable amount set forth above. A unit of local government, as defined in the Local Solid Waste Disposal Act, in which a general construction or demolition debris recovery facility is located may establish a fee, tax, or surcharge on the general construction or demolition debris recovery facility with regard to the permanent disposal of solid waste by the general construction or demolition debris recovery facility at a solid waste disposal facility, provided that such fee, tax, or surcharge shall not exceed 50% of the applicable amount set forth above, based on the total amount of solid waste transported from the general construction or demolition debris recovery facility for disposal at solid waste disposal facilities, and the unit of local government and fee shall be subject to all other requirements of this subsection (j). A county or Municipal Joint Action Agency that imposes a fee, tax, or surcharge under this subsection may use the proceeds thereof to reimburse a municipality that lies wholly or partially within its boundaries for expenses incurred in the removal of nonhazardous, nonfluid municipal waste that has been dumped on public property in violation of a State law or local ordinance. If the fees are to be used to conduct a local sanitary landfill inspection or enforcement program, the unit of local government must enter into a written delegation agreement with the Agency pursuant to subsection (r) of Section 4. The unit of local government and the Agency shall enter into such a written delegation agreement within 60 days after the establishment of such fees. At least annually, the Agency shall conduct an audit of the expenditures made by units of local government from the funds granted by the Agency to the units of local government for purposes of local sanitary landfill inspection and enforcement programs, to ensure that the funds have been expended for the prescribed purposes under the grant. The fees, taxes or surcharges collected under this subsection (j) shall be placed by the unit of local government in a separate fund, and the interest received on the moneys in the fund shall be credited to the fund. The monies in the fund may be accumulated over a period of years to be expended in accordance with this subsection. A unit of local government, as defined in the Local Solid Waste Disposal Act, shall prepare and post on its website, in April of each year, a report that details spending plans for monies collected in accordance with this subsection. The report will at a minimum include the following: (1) The total monies collected pursuant to this | ||
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(2) The most current balance of monies collected | ||
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(3) An itemized accounting of all monies expended for | ||
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(4) An estimation of monies to be collected for the | ||
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(5) A narrative detailing the general direction and | ||
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The exemptions granted under Sections 22.16 and 22.16a, and under subsection (k) of this Section, shall be applicable to any fee, tax or surcharge imposed under this subsection (j); except that the fee, tax or surcharge authorized to be imposed under this subsection (j) may be made applicable by a unit of local government to the permanent disposal of solid waste after December 31, 1986, under any contract lawfully executed before June 1, 1986 under which more than 150,000 cubic yards (or 50,000 tons) of solid waste is to be permanently disposed of, even though the waste is exempt from the fee imposed by the State under subsection (b) of this Section pursuant to an exemption granted under Section 22.16. (k) In accordance with the findings and purposes of the Illinois Solid Waste Management Act, beginning January 1, 1989 the fee under subsection (b) and the fee, tax or surcharge under subsection (j) shall not apply to: (1) waste which is hazardous waste; (2) waste which is pollution control waste; (3) waste from recycling, reclamation or reuse | ||
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(4) non-hazardous solid waste that is received at a | ||
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(5) any landfill which is permitted by the Agency to | ||
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(Source: P.A. 102-16, eff. 6-17-21; 102-310, eff. 8-6-21; 102-444, eff. 8-20-21; 102-699, eff. 4-19-22; 102-813, eff. 5-13-22; 102-1055, eff. 6-10-22; 103-8, eff. 6-7-23; 103-154, eff. 6-30-23; 103-372, eff. 1-1-24; 103-383, eff. 7-28-23; 103-588, eff. 6-5-24; 103-605, eff. 7-1-24.) |
(415 ILCS 5/22.15a)
Sec. 22.15a. Open dumping cleanup program.
(a) Upon making a finding that open dumping poses a threat to the public
health or to the environment, the Agency may take whatever preventive or
corrective action is necessary or appropriate to end that threat. This
preventive or corrective action may consist of any or all of the following:
(1) Removing waste from the site.
(2) Removing soil and water contamination that is | ||
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(3) Installing devices to monitor and control | ||
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(4) Taking any other actions that are authorized by | ||
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(b) Subject to the availability of appropriated funds, the Agency may
undertake a consensual removal action for the removal of up to 20 cubic yards
of waste at no cost to the owner of property where open dumping has occurred in accordance with the following
requirements:
(1) Actions under this subsection must be taken | ||
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(2) The written agreement must at a minimum specify:
(A) that the owner relinquishes any claim of an | ||
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(B) that waste will no longer be allowed to | ||
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(C) that the owner will hold harmless the Agency | ||
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(D) any conditions imposed upon or assistance | ||
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(3) The Agency may establish by rule the conditions | ||
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(4) The Agency must prescribe the form of written | ||
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(c) The Agency may provide notice to the owner of property where open dumping has occurred whenever the
Agency finds that open dumping poses a threat to public health or the
environment. The notice provided by the Agency must include the identified
preventive or corrective action
and must provide an opportunity for the owner to perform the action.
(d) In accordance with constitutional limitations, the Agency may enter, at
all reasonable times, upon any private or public property for the purpose of
taking any preventive or corrective action that is necessary and appropriate
under this Section whenever the Agency finds that open dumping poses a threat
to the public health or to the environment.
(e) Notwithstanding any other provision or rule of law and subject only to
the defenses set forth in subsection (g) of this Section, the following persons
shall be liable for all costs of corrective or preventive action incurred by
the State of Illinois as a result
of open dumping, including the reasonable costs of collection:
(1) any person with an ownership interest in property | ||
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(2) any person with an ownership or leasehold | ||
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(3) any person who transported waste that was open | ||
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(4) any person who open dumped at the property.
Any moneys received by the Agency under this subsection (e) must be deposited
into the Subtitle D Management Fund.
(f) Any person liable to the Agency for costs incurred under subsection (e)
of this Section may be liable to the State of Illinois for punitive damages in
an amount at least equal to and not more than 3 times the costs incurred by the
State if that person failed, without sufficient cause, to take preventive or
corrective action under the notice issued under subsection (c) of this Section.
(g) There shall be no liability under subsection (e) of this Section for a
person otherwise liable who can establish by a preponderance of the evidence
that the hazard created by the open dumping was caused solely by:
(1) an act of God;
(2) an act of war; or
(3) an act or omission of a third party other than an | ||
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(A) at the time the defendant acquired the | ||
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(B) the defendant is a government entity that | ||
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(C) the defendant acquired the property by | ||
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(h) Nothing in this Section shall affect or modify the obligations or
liability of any person under any other provision of this Act, federal law, or
State law, including the common law, for injuries, damages, or losses resulting
from the circumstances leading to Agency action under this Section.
(i) The costs and damages provided for in this Section may be imposed by the
Board in an action brought before the Board in accordance with Title VIII of
this Act, except that subsection (c) of Section 33 of this Act shall not apply
to any such action.
(j) Except for willful and wanton misconduct, neither the State, the Director, nor any State employee shall be liable for any damages or injuries arising out of or resulting from any act or omission occurring under the provisions of this amendatory Act of the 94th General Assembly.
(k) Before taking preventive or corrective action under this Section, the Agency shall consider whether the open dumping: (1) occurred on public land; (2) occurred on a public right-of-way; (3) occurred in a park or natural area; (4) occurred in an environmental justice area; (5) was caused or allowed by persons other than the | ||
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(6) creates the potential for groundwater | ||
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(7) creates the potential for surface water | ||
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(8) creates the potential for disease vectors; (9) creates a fire hazard; or (10) preventive or corrective action by the Agency | ||
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In taking preventive or corrective action under this Section, the Agency shall not expend more than $50,000 at any single site in response to open dumping unless: (i) the Director determines that the open dumping poses an imminent and substantial endangerment to the public health or welfare or the environment; or (ii) the General Assembly appropriates more than $50,000 for preventive or corrective action in response to the open dumping, in which case the Agency may spend the appropriated amount.
(Source: P.A. 94-272, eff. 7-19-05.) |
(415 ILCS 5/22.16) (from Ch. 111 1/2, par. 1022.16)
Sec. 22.16.
Fee exemptions.
(a) The Agency shall grant exemptions from the fee
requirements of Section 22.15 of this Act for permanent disposal or
transport of solid waste meeting all of the following criteria:
(1) permanent disposal of the solid waste is pursuant | ||
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(2) the contract for permanent disposal or transport | ||
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(3) the contract for permanent disposal or transport | ||
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(4) the contract was lawfully executed on or before | ||
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(b) Exemptions granted under this Section shall cause the solid waste
received by an owner or operator of a sanitary landfill pursuant to a
contract exempted under this Section to be disregarded in calculating the
volume or weight of solid waste permanently disposed of during a calendar
year under Section 22.15 of this Act.
(c) (Blank.)
(d) It shall be the duty of an owner or operator of a sanitary landfill
to keep accurate records and to prove to the satisfaction of the Agency the
volume or weight of solid waste received under an exemption during a calendar
year.
(e) Exemptions under this Section shall expire upon the expiration,
renewal or amendment of the exempted contract, whichever occurs first.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/22.16a) (from Ch. 111 1/2, par. 1022.16a)
Sec. 22.16a.
Additional fee exemptions.
(a) In accordance with the findings and purposes of the
Illinois Solid Waste Management Act, the Agency shall grant exemptions from
the fee requirements of Section 22.15 of this Act for solid waste meeting
all of the following criteria:
(1) the waste is non-putrescible and homogeneous and | ||
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(2) combustion of the waste would not provide | ||
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(3) the applicant for exemption demonstrates that it | ||
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(b) Exemptions granted under this Section shall cause the solid waste
exempted under subsection (a) which is permanently disposed of by an owner
or operator of a sanitary landfill to be disregarded in calculating the volume
or weight of solid waste permanently disposed of during a calendar year
under Section 22.15 of this Act.
(c) Applications for exemptions under this Section must be submitted on
forms provided by the Agency for such purpose, together with proof of
satisfaction of all criteria for granting the exemption. For applications received on or after
March 1, 1989, exemptions issued under subsection (a) shall be effective
beginning with the next calendar quarter following issuance of the exemption.
(d) If the Agency denies a request made pursuant to subsection (a), the
applicant may seek review before the Board pursuant to Section 40 as if the
Agency had denied an application for a permit. If the Agency fails to act
within 90 days after receipt of an application, the request shall be deemed
granted until such time as the Agency has taken final action.
(e) It shall be the duty of an owner or operator of a sanitary landfill
to keep accurate records and to prove to the satisfaction of the Agency the
volume or weight of solid waste received under an exemption during a
calendar year.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/22.16b) (from Ch. 111 1/2, par. 1022.16b)
Sec. 22.16b. (a) Beginning January 1, 1991, the Agency shall assess and
collect a fee from the owner or operator of each new municipal waste
incinerator. The fee shall be calculated by applying the rates established
from time to time for the disposal of solid waste at sanitary landfills
under subdivision (b)(1) of Section 22.15 to the total amount of municipal
waste accepted for incineration at the new municipal waste incinerator.
The exemptions provided by this Act to the fees imposed under subsection
(b) of Section 22.15 shall not apply to the fee imposed by this Section.
The owner or operator of any new municipal waste incinerator permitted
after January 1, 1990, but before July 1, 1990 by the Agency for the
development or operation of a new municipal waste incinerator shall be exempt
from this fee, but shall include the following conditions:
(1) The owner or operator shall provide information | ||
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(2) The owner or operator shall provide information | ||
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For the purposes of this Section, "new municipal waste incinerator" means
a municipal waste incinerator initially permitted for development or
construction on or after January 1, 1990.
Amounts collected under this subsection shall be deposited into the
Municipal Waste Incinerator Tax Fund, which is hereby established as an
interest-bearing special fund in the State Treasury. Monies in the Fund
may be used, subject to appropriation:
(1) by the Agency to fund its public information | ||
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(2) by the Agency to fund its household hazardous | ||
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(b) Any permit issued by the Agency for the development or operation of
a new municipal waste incinerator shall include the following conditions:
(1) The incinerator must be designed to provide | ||
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(2) The facility shall comply with the emission | ||
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(3) The operator of the facility shall take | ||
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(4) The operator may not accept for incineration any | ||
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The Agency, after careful scrutiny of a permit application for the
construction, development or operation of a new municipal waste incinerator,
shall deny the permit if (i) the Agency finds in the permit application
noncompliance with the laws and rules of the State or (ii) the application
indicates that the mandated air emissions standards will not be reached within
six months of the proposed municipal waste incinerator beginning operation.
(c) The Agency shall adopt specific limitations on the emission of
mercury, chromium, cadmium and lead, and good combustion practices, including
temperature controls from municipal waste incinerators pursuant to Section 9.4
of the Act.
(d) The Agency shall establish household hazardous waste collection
centers in appropriate places in this State. The Agency may operate and
maintain the centers itself or may contract with other parties for that
purpose. The Agency shall ensure that the wastes collected are properly
disposed of. The collection centers may charge fees for their services,
not to exceed the costs incurred. Such collection centers shall not (i) be
regulated as hazardous waste facilities under RCRA nor (ii) be subject to
local siting approval under Section 39.2 if the local governing authority
agrees to waive local siting approval procedures.
(Source: P.A. 102-444, eff. 8-20-21.)
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(415 ILCS 5/22.17) (from Ch. 111 1/2, par. 1022.17)
Sec. 22.17.
Landfill post-closure care.
(a) The owner and operator of a sanitary landfill site
that is not a site subject to subsection (a.5) or (a.10) of this Section
shall monitor gas, water and settling at the completed site for a period of
15 years after the site is completed or closed, or such longer period as may
be required by Board or federal regulation.
(a.5) The owner and operator of a MSWLF unit that accepts household waste
after October 8, 1993, shall conduct post-closure care at the site for a period
of 30 years after the site is completed or closed, or such other period as may
be approved by the Agency pursuant to Board or federal rules.
(a.10) The owner and operator of a MSWLF unit that accepts household waste
on or after October 9, 1991, but stops receiving waste before October 9, 1993,
and installs final cover more than 6 months after the receipt of the final
volume of waste shall conduct post-closure care at the site for a period of 30
years after the site is completed or closed, or such other period as may be
approved by the Agency pursuant to Board or federal rules.
(b) The owner and operator of a sanitary landfill that is not a facility
subject to subsection (a.5) or (a.10) of this Section shall take whatever
remedial action is necessary to abate any gas, water or settling problems which
appear during such period of time specified in subsection (a).
The owner and operator of a MSWLF unit that accepts household waste after
October 8, 1993, shall take whatever remedial action is required under
Sections 22.40 and 22.41 of this Act during the period of time specified in
subsection (a.5) or (a.10).
(c) Except for MSWLF units that received household waste on or after
October 9, 1991, this Section does not apply to a landfill used exclusively for
the disposal of waste generated at the site.
(Source: P.A. 88-496.)
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(415 ILCS 5/22.18) (from Ch. 111 1/2, par. 1022.18)
Sec. 22.18.
(Repealed).
(Source: Repealed by P.A. 88-496.)
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(415 ILCS 5/22.18b) (from Ch. 111 1/2, par. 1022.18b)
Sec. 22.18b.
(Repealed).
(Source: Repealed by P.A. 88-496.)
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(415 ILCS 5/22.18c) (from Ch. 111 1/2, par. 1022.18c)
Sec. 22.18c.
(Repealed).
(Source: Repealed by P.A. 88-496.)
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(415 ILCS 5/22.19) (from Ch. 111 1/2, par. 1022.19)
Sec. 22.19.
(a) Counties with 200,000 or more
inhabitants but fewer than 300,000 inhabitants, which border on the
Mississippi River, may by ordinance set
reasonable operating hours for all sanitary landfills and waste-to-energy
facilities within their boundaries
that receive wastes from sources off the site where such landfills or
waste-to-energy facilities are located.
(b) Beginning January 1, 1989, the Agency shall not grant any permit for
the construction or operation of a solid waste disposal facility on a site
which is held in a land trust, unless the application therefor has been
signed by all beneficiaries of the land trust.
(Source: P.A. 85-1311.)
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(415 ILCS 5/22.19a)
Sec. 22.19a.
Floodplain.
(a) On and after January 1, 1998, no sanitary landfill or waste disposal
site that is a pollution control facility, or any part of a
sanitary landfill
or waste disposal site that is a pollution control facility, may be located
within the boundary of the 100-year floodplain.
(b) Subsection (a) shall not apply to the following:
(1) a sanitary landfill or waste disposal site | ||
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(2) a sanitary landfill or waste disposal site for | ||
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(3) the area of expansion beyond the boundary of a | ||
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(4) a sanitary landfill or waste disposal site that | ||
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(Source: P.A. 90-503, eff. 8-19-97; 91-588, eff. 8-14-99.)
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(415 ILCS 5/22.19b)
Sec. 22.19b.
Postclosure care requirements.
(a) For those sanitary landfills and waste disposal sites located
within the
boundary of the 100-year floodplain pursuant to paragraph (3) of subsection
(b) of Section
22.19a, to address the risks posed by flooding to the integrity of the
sanitary landfill or waste disposal site, the owner or operator of the sanitary
landfill or waste disposal site shall comply with the following financial
assurance requirements for that portion of the site permitted for the disposal
of solid waste within the boundary of the 100-year floodplain:
(1) The owner or operator must include, in the | ||
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(A) the cost of inspecting, and anticipated | ||
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(B) the cost of repairing anticipated erosion | ||
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(C) the cost of inspecting the portion of the | ||
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(D) the cost of monitoring the portion of the | ||
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(2) The owner or operator must provide financial | ||
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(3) The owner or operator must base the portion of | ||
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(4) The owner or operator must submit the information | ||
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(b) Any sanitary landfill or waste disposal site owner or operator subject
to subsection (a) of this Section must certify in the facility's application
for permit renewal that the postclosure care activities set forth in the
postclosure care plan to comply with this Section have been met and will be
performed.
(c) Nothing in this Section shall be construed as limiting the general
authority of the Board to adopt rules pursuant to Title VII of this Act.
(d) Notwithstanding any requirements of this Section, the owner or
operator of any landfill or waste disposal facility located in a 100-year
floodplain shall, upon receipt
of notification from the Agency, repair damage to that facility caused by a
100-year flood.
(Source: P.A. 90-503, eff. 8-19-97; 91-588, eff. 8-14-99.)
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(415 ILCS 5/22.20) (from Ch. 111 1/2, par. 1022.20)
Sec. 22.20.
(Repealed).
(Source: P.A. 86-820. Repealed by P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/22.21) (from Ch. 111 1/2, par. 1022.21)
Sec. 22.21.
During operation of a pollution control
facility, the operator shall comply with the safety standards relating to
construction established pursuant to the federal Occupational Safety and
Health Act of 1970, Title 29, United States Code, Sections 651 through 678,
Public Law 91-596, as amended.
(Source: P.A. 91-357, eff. 7-29-99.)
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(415 ILCS 5/22.22) (from Ch. 111 1/2, par. 1022.22)
Sec. 22.22.
Landscape waste.
(a) Beginning July 1, 1990, no person may knowingly mix
landscape waste that is intended for collection or for disposal at a
landfill with any other municipal waste.
(b) Beginning July 1, 1990, no person may knowingly put landscape waste
into a container intended for collection or disposal at a landfill, unless
such container is biodegradable.
(c) Beginning July 1, 1990, no owner or operator of a sanitary landfill
shall accept landscape waste for final disposal, except that landscape waste
separated from municipal waste may be accepted by a sanitary landfill if (1)
the landfill provides and maintains for that purpose separate landscape waste
composting facilities and composts all landscape waste, and (2) the composted
waste is utilized, by the operators of the landfill or by any other person, as
part of the final vegetative cover for the landfill or for such other uses as
soil conditioning material, or the landfill has received an Agency permit to
use source separated and processed landscape waste as an alternative daily
cover and the landscape waste is processed at a site, other than the sanitary
landfill, that has received an Agency permit before July 30, 1997 to process landscape waste.
For purposes of this Section, (i) "source separated" means divided into its
component parts at the point of generation and collected separately
from other solid waste and (ii) "processed" means shredded by mechanical means
to reduce the landscape waste to a uniform consistency.
(d) The requirements of this Section shall not apply (i) to landscape
waste collected as part of a municipal street sweeping operation where the
intent is to provide street sweeping service rather than leaf collection,
nor (ii) to landscape waste collected by bar screens or grates in a sewage
treatment system.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/22.23) (from Ch. 111 1/2, par. 1022.23)
Sec. 22.23. Batteries.
(a) Beginning September 1, 1990, any person selling lead-acid batteries at
retail or offering lead-acid batteries for retail sale in this State shall:
(1) accept for recycling used lead-acid batteries | ||
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(2) post in a conspicuous place a written notice at | ||
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(b) Any person selling lead-acid batteries at retail in this State may
either charge a recycling fee on each new lead-acid battery sold
for which the customer does not return a used battery to the retailer, or
provide a recycling credit to each customer who returns a used battery for
recycling at the time of purchasing a new one.
(c) Beginning September 1, 1990, no lead-acid battery retailer
may dispose of a used lead-acid
battery except by delivering it (1) to a battery wholesaler or its agent,
(2) to a battery manufacturer, (3) to a collection or recycling facility that accepts lead-acid batteries,
or (4) to a secondary lead smelter permitted by either a state or federal
environmental agency.
(d) Any person selling lead-acid batteries at wholesale or offering
lead-acid batteries for sale at wholesale shall accept for recycling used
lead-acid batteries from customers, at the point of transfer,
in a quantity equal to the number of new batteries purchased.
Such used batteries shall be disposed of as provided in subsection (c).
(e) A person who accepts used lead-acid batteries for recycling pursuant
to subsection (a) or (d) shall not allow such batteries to accumulate for
periods of more than 90 days.
(f) Beginning September 1, 1990, no person may knowingly cause or allow:
(1) the placing of a lead-acid battery into any | ||
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(2) the disposal of any lead-acid battery in any | ||
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(f-5) Beginning January 1, 2020, no person shall knowingly mix a lead-acid battery with any other material intended for collection as a recyclable material by a hauler. Beginning January 1, 2020, no person shall knowingly place a lead-acid battery into a container intended for collection by a hauler for processing at a recycling center. (g) (Blank).
(h) For the purpose of this Section:
"Lead-acid battery" means a battery containing lead and sulfuric acid
that has a nominal voltage of at least 6 volts and is intended for use in
motor vehicles.
"Motor vehicle" includes automobiles, vans, trucks, tractors, motorcycles
and motorboats.
(i) (Blank).
(j) Knowing violation of this Section shall be a petty offense
punishable by a fine of $100.
(Source: P.A. 100-621, eff. 7-20-18; 101-137, eff. 7-26-19.)
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(415 ILCS 5/22.23a)
Sec. 22.23a.
Fluorescent and high intensity discharge lamps.
(a) As used in this Section, "fluorescent or high intensity discharge
lamp" means a lighting device that contains mercury and generates light
through the discharge of electricity either directly or indirectly through a
fluorescent coating, including a mercury vapor, high pressure sodium, or metal
halide lamp containing mercury, lead, or cadmium.
(b) No person may knowingly cause or allow the disposal of any fluorescent
or high intensity discharge lamp in any municipal waste incinerator beginning
July 1, 1997. This Section does not apply to lamps generated by households.
(c) (1) Hazardous fluorescent and high intensity | ||
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(2) If the United States Environmental Protection | ||
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(d) (Blank.)
(e) (Blank.)
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/22.23b) Sec. 22.23b. Mercury and mercury-added products. (a) Beginning July 1, 2005, no person shall purchase or accept, for use in a primary or secondary school classroom, bulk elemental mercury, chemicals containing mercury compounds, or instructional equipment or materials containing mercury added during their manufacture. This subsection (a) does not apply to: (i) other products containing mercury added during their manufacture that are used in schools and (ii) measuring devices used as teaching aids, including, but not limited to, barometers, manometers, and thermometers, if no adequate mercury-free substitute exists. (b) Beginning July 1, 2007, no person shall sell, offer to sell, distribute, or offer to distribute in this State a mercury switch or mercury relay individually or as a product component. For a product that contains one or more mercury switches or mercury relays as a component, this subsection (b) is applicable to each component part or parts and not the entire product. This subsection (b) does not apply to the following: (1) Mercury switches and mercury relays used in | ||
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(2) Mercury switches and mercury relays used at | ||
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(3) Mercury switches in thermostats used to sense and | ||
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(4) Mercury switches and mercury relays required to | ||
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(5) A mercury switch or mercury relay used to replace | ||
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(A) The larger product is used in manufacturing; | ||
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(B) The mercury switch or mercury relay is | ||
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(c) The manufacturer of a mercury switch or mercury relay, or a scientific instrument or piece of instructional equipment containing mercury added during its manufacture, may apply to the Agency for an exemption from the provisions of subsection (a) or (b) of this Section for one or more specific uses of the switch, relay, instrument, or piece of equipment by filing a written petition with the Agency. The Agency may grant an exemption, with or without conditions, if the manufacturer demonstrates the following: (1) A convenient and widely available system exists | ||
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(2) The specific use or uses of the switch, relay, | ||
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Before approving any exemption under this subsection (c) the Agency must consult with other states to promote consistency in the regulation of products containing mercury added during their manufacture. Exemptions shall be granted for a period of 5 years. The manufacturer may request renewals of the exemption for additional 5-year periods by filing additional written petitions with the Agency. The Agency may renew an exemption if the manufacturer demonstrates that the criteria set forth in paragraphs (1) and (2) of this subsection (c) continue to be satisfied. All petitions for an exemption or exemption renewal shall be submitted on forms prescribed by the Agency. The Agency must adopt rules for processing petitions submitted pursuant to this subsection (c). The rules shall include, but shall not be limited to, provisions allowing for the submission of written public comments on the petitions. (d) No later than January 1, 2005, the Agency must submit to the Governor and the General Assembly a report that includes the following: (1) An evaluation of programs to reduce and recycle | ||
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(2) Recommendations for altering the programs to make | ||
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In preparing the report the Agency may seek information from and consult with, businesses, trade associations, environmental organizations, and other government agencies. (e) Mercury switches and mercury relays, and scientific instruments and instructional equipment containing mercury added during their manufacture, are hereby designated as categories of universal waste subject to the streamlined hazardous waste rules set forth in Title 35 of the Illinois Administrative Code, Subtitle G, Chapter I, Subchapter c, Part 733 ("Part 733"). Within 60 days of the effective date of this amendatory Act of the 93rd General Assembly, the Agency shall propose, and within 180 days of receipt of the Agency's proposal the Board shall adopt, rules that reflect this designation and that prescribe procedures and standards for the management of such items as universal waste.
If the United States Environmental Protection Agency adopts streamlined hazardous waste regulations pertaining to the management of mercury switches or mercury relays, or scientific instruments or instructional equipment containing mercury added during their manufacture, or otherwise exempts such items from regulation as hazardous waste, the Board shall adopt equivalent rules in accordance with Section 7.2 of this Act within 180 days of adoption of the federal regulations. The equivalent Board rules may serve as an alternative to the rules adopted under subsection (1) of this subsection (e).
(f) Beginning July 1, 2008, no person shall install, sell, offer to sell, distribute, or offer to distribute a mercury thermostat in this State. For purposes of this subsection (f), "mercury thermostat" means a product or device that uses a mercury switch to sense and control room temperature through communication with heating, ventilating, or air conditioning equipment. "Mercury thermostat" includes thermostats used to sense and control room temperature in residential, commercial, industrial, and other buildings, but does not include thermostats used to sense and control temperature as a part of a manufacturing or industrial process.
(Source: P.A. 97-459, eff. 7-1-12 .) |
(415 ILCS 5/22.23c) Sec. 22.23c. Vehicle wheel weights. (a) In this Section: "New vehicle" has the same meaning as ascribed in | ||
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"Vehicle" has the same meaning as ascribed in | ||
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(b) On and after January 1, 2012, no person shall use a weight or other product to balance a vehicle wheel or tire if the weight or other product contains mercury that was intentionally added during the manufacturing process or contains more than 0.1 percent lead by weight. (c) On and after January 1, 2012, no person shall sell, offer to sell, distribute, or offer to distribute a weight or other product for balancing a vehicle wheel or tire if the weight or other product contains mercury that was intentionally added during the manufacturing process or contains more than 0.1 percent lead by weight. (d) On and after January 1, 2012, no person shall sell a new vehicle equipped with a weight or other product used to balance a vehicle wheel or tire if the weight or other product contains mercury that was intentionally added during the manufacturing process or contains more than 0.1 percent lead by weight.
(Source: P.A. 96-1296, eff. 7-26-10.) |
(415 ILCS 5/22.23d) (Section scheduled to be repealed on January 1, 2028) Sec. 22.23d. Rechargeable batteries. (a) "Rechargeable battery" means one or more voltaic or galvanic cells, electrically connected to produce electric energy, that are designed to be recharged for repeated uses. "Rechargeable battery" includes, but is not limited to, a battery containing lithium ion, lithium metal, or lithium polymer or that uses lithium as an anode or cathode, that is designed to be recharged for repeated uses. "Rechargeable battery" does not mean either of the following: (1) Any dry cell battery that is used as the | ||
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(2) Any battery that is used only as a backup power | ||
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(b) Unless expressly authorized by a recycling collection program, beginning January 1, 2020, no person shall knowingly mix a rechargeable battery or any appliance, device, or other item that contains a rechargeable battery with any other material intended for collection by a hauler as a recyclable material. Unless expressly authorized by a recycling collection program, beginning January 1, 2020, no person shall knowingly place a rechargeable battery or any appliance, device, or other item that contains a rechargeable battery into a container intended for collection by a hauler for processing at a recycling center. (c) The Agency shall include on its website information regarding the recycling of rechargeable batteries. (Source: P.A. 101-137, eff. 7-26-19; 102-558, eff. 8-20-21. Repealed by P.A. 103-1033, eff. 1-1-28.) |
(415 ILCS 5/22.23e) (Text of Section from P.A. 103-887) (This Section may contain text from a Public Act with a delayed effective date ) Sec. 22.23e. Paint and paint-related wastes. (a) As used in this Section: "Paint" means a pigmented or unpigmented powder coating, or a pigmented or unpigmented mixture of binder and suitable liquid, that forms an adherent coating when applied to a surface. Powder coating is a surface coating that is applied as a dry powder and is fused into a continuous coating film through the use of heat. "Paint" includes architectural paint as defined in the Paint Stewardship Act. "Paint-related waste" is (i) material contaminated with paint that results from the packaging of paint, wholesale and retail operations, paint manufacturing, and paint application or removal activities or (ii) material derived from the reclamation of paint-related wastes that is recycled in a manner other than burning for energy recovery or used in a manner constituting disposal. (b)(1) Paint and paint-related waste that are hazardous waste are hereby designated as a category of universal waste subject to the streamlined hazardous waste rules set forth in 35 Ill. Adm. Code 733. Within 60 days after the effective date of this amendatory Act of the 103rd General Assembly, the Agency shall propose, and within 180 days after receipt of the Agency's proposal the Board shall adopt, rules that reflect this designation and that prescribe procedures and standards for the management of hazardous waste paint and paint-related waste as a universal waste consistent with the provisions set forth within this Section. (2) If the United States Environmental Protection Agency adopts streamlined hazardous waste regulations pertaining to the management of hazardous waste paint or paint-related waste, or otherwise exempts such paint or paint-related waste from regulation as hazardous waste, the Board shall adopt an equivalent rule in accordance with Section 7.2 of this Act within 180 days of adoption of the federal regulation. The equivalent Board rule may serve as an alternative to the rules adopted under paragraph (1) of this subsection (b). (c) Until the Board adopts rules pursuant to paragraph (1) of subsection (b) that prescribe procedures and standards for the management of hazardous waste paint and paint-related waste by small quantity handlers of universal waste, the following requirements shall apply to small quantity handlers of universal waste managing hazardous waste paint and paint-related waste as a universal waste: (1) Waste Management. A small quantity handler of | ||
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(A) The small quantity handler of universal waste | ||
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(B) The small quantity handler of universal waste | ||
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(C) The small quantity handler of universal | ||
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(i) Stop the release. (ii) Contain the released universal waste | ||
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(iii) Clean up and properly manage the | ||
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(iv) Remove any leaking container from | ||
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(v) Repair any leaking container before | ||
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(D) A small quantity handler of universal waste | ||
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(E) A small quantity handler of universal waste | ||
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(F) A small quantity handler of universal waste | ||
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(2) Labeling or marking. Each container in which | ||
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(3) Accumulation time limits. (A) A small quantity handler of universal waste | ||
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(B) A small quantity handler of universal waste | ||
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(i) placing the universal waste paint and | ||
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(ii) marking or labeling each individual item | ||
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(iii) maintaining an inventory system on-site | ||
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(iv) placing universal waste paint and | ||
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(v) any other method that clearly | ||
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(4) Employee training. A small quantity handler of | ||
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(5) Response to releases. (A) A small quantity handler of universal waste | ||
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(B) A small quantity handler of universal waste | ||
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(6) Off-site shipments. (A) A small quantity handler of universal waste | ||
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(B) If a small quantity handler of universal | ||
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(C) If universal waste paint and paint-related | ||
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(D) Prior to sending a shipment of universal | ||
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(E) If a small quantity handler of universal | ||
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(i) receive the universal waste paint and | ||
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(ii) agree with the receiving handler on a | ||
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(F) A small quantity handler of universal waste | ||
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(i) send the shipment back to the originating | ||
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(ii) if agreed to by both the originating and | ||
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(G) If a small quantity handler of universal | ||
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(d) Until the Board adopts rules pursuant to subsection (b), the following additional requirements shall apply: (1) Paints and paint-related wastes that are exempt | ||
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(2) Universal waste transporters that transport | ||
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(3) Universal waste destination facilities that | ||
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(Source: P.A. 103-887, eff. 1-1-25.) (Text of Section from P.A. 103-1006) (This Section may contain text from a Public Act with a delayed effective date ) Sec. 22.23e. End-of-life electric vehicle and battery electric storage system batteries. (a) In this Section: "Battery energy storage solution facility" or "BESS" means a facility that stores and distributes energy in the form of electricity and that stores electricity using battery devices and other means. "Battery energy storage solution" or "BESS" includes any permanent structures associated with the battery energy storage facility and all associated transmission lines, substations, and other equipment related to the storage and transmission of electric power. "Battery storage site" means a site where used batteries are stored. "Electric vehicle" or "EV" has the same meaning as defined in Section 11-1308 of the Illinois Vehicle Code. "Electric vehicle battery" or "EV battery" means a rechargeable battery that is used to power the electric motors that propel an electric vehicle. "Electric vehicle battery" includes, but is not limited to, lithium-ion batteries and nickel-metal hydride batteries. "Used battery" means an EV battery that is sold, given, or otherwise conveyed to a battery storage site. "Storage" means any accumulation of used batteries that does not constitute disposal. (b) No person shall cause or allow the operation of a battery storage site at which 5,000 kilograms or more of used batteries are stored at any one time unless: (1) the battery storage site is registered with the | ||
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(2) the owner or operator of the battery storage site | ||
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(A) the weight or volume of whole or partial used | ||
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(B) the weight or volume of whole or partial used | ||
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(C) the weight or volume of whole or partial used | ||
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(3) the owner or operator of the battery storage site | ||
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The records required under this Section shall be made available for inspection and copying by the Agency during the normal business hours. (c) The owner or operator of each battery storage site in operation prior to February 1, 2026, at which 5,000 kilograms or more of used batteries are stored at any one time, must register with the Agency prior to February 1, 2026 and each February 1 thereafter. Any owners or operators of a battery storage site that comes into operation after February 1, 2026 shall register with the Agency prior to commencing operation. Registration must be on forms and in a format prescribed by the Agency. Agency registration forms shall include, at a minimum, information regarding the following: (1) the name and address of the owner and operator of | ||
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(2) A description of the operations conducted at the | ||
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(3) the weight or volume of whole or partial used | ||
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(4) the weight or volume of whole or partial used | ||
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(d) No later than 1 year after the effective date of this amendatory Act, the Agency shall propose to the Board, and no later than one year after receipt of the Agency's proposal, the Board shall adopt, rules for the operation of battery storage sites. Such rules shall include, but not be limited to: requirements for end-of-life battery receipt, handling, storage, and transfer; standards for fire prevention; requirements for contingency planning and emergency response; recordkeeping; reporting; and financial assurance. (Source: P.A. 103-1006, eff. 1-1-25.) |
(415 ILCS 5/22.24) (from Ch. 111 1/2, par. 1022.24) (Text of Section before amendment by P.A. 103-1017 ) Sec. 22.24. (a) Beginning January 1, 1990, no person may operate any
landfill in any county with a population over 275,000, as determined by the
latest federal decennial census, unless facilities are provided at such
landfills which are appropriate for cleaning mud,
gravel, waste and other material from the site off of the wheels and
undercarriages of trucks and other vehicles exiting the site. (b) Beginning January 1, 1990, no person may drive any truck or trailer
off the site of a landfill in any county with a population over 275,000, as
determined by the latest federal decennial census, without first
cleaning any mud, gravel, waste or other material from the site off of the
wheels and undercarriage of the vehicle. (Source: P.A. 86-772; 86-1028.) (Text of Section after amendment by P.A. 103-1017 ) Sec. 22.24. (a) Beginning January 1, 2025, no person may operate any landfill in any county with a population over 250,000, as determined by the latest federal decennial census, unless facilities are provided at such landfills which are appropriate for cleaning mud, gravel, waste and other material from the site off of the wheels and undercarriages of trucks and other vehicles exiting the site. (b) Beginning January 1, 2025, no person may drive any truck or trailer off the site of a landfill in any county with a population over 250,000, as determined by the latest federal decennial census, without first cleaning any mud, gravel, waste or other material from the site off of the wheels and undercarriage of the vehicle. (Source: P.A. 103-1017, eff. 1-1-25.) |
(415 ILCS 5/22.26) (from Ch. 111 1/2, par. 1022.26)
Sec. 22.26.
The Agency shall not issue a development or construction
permit after December 31, 1990 for any composting facility, unless the
applicant has given notice thereof (1) in person or by mail to the members
of the General Assembly from the legislative district in which the proposed
facility is to be located, (2) by registered or certified mail to the
owners of all real property located within 250 feet of the site of the
proposed facility (determined as provided in subsection (b) of Section
39.2), and (3) to the general public by publication in a newspaper of
general circulation in the county in which the proposed facility is to be
located. The notice required under this Section must include: (i) a description of the type of facility being proposed, (ii) the location of the proposed facility, (iii) the name of the person proposing the construction or development of the facility and the contact information (including a phone number) for that person, (iv) instructions directing the recipient of the notice to send written comments relating to the construction or development of the facility to the Agency within 21 days after the notice is either received by mail or last published in a newspaper of general circulation, and (v) the Agency's address, as well as the phone numbers for the Bureaus and Sections responsible for issuing the permit.
(Source: P.A. 96-418, eff. 1-1-10.)
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(415 ILCS 5/22.27) (from Ch. 111 1/2, par. 1022.27)
Sec. 22.27.
Alternative Daily Cover for Sanitary Landfills.
(a) If the Agency determines that any or all chemical foams provides a cover
material that is as good as, or better than, the traditional soil cover
commonly used in this State, the Agency shall certify that material as
meeting the requirements of this Section. If the Agency determines that
any alternative materials other than chemical foams adequately satisfies
daily cover requirements at sanitary landfills, it shall permit use of
such materials at such facilities.
(b) In complying with the daily cover requirements imposed on sanitary
landfills by Board regulation, the operator of a sanitary landfill may use
any foam that has been certified by the Agency under this Section in place
of a soil cover.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/22.28) (from Ch. 111 1/2, par. 1022.28)
Sec. 22.28. White goods.
(a) No person shall knowingly offer for
collection or collect white goods for the purpose of disposal by
landfilling unless the white good components have been removed.
(b) No owner or operator of a landfill shall
accept any white goods for final disposal, except that white goods may be
accepted if:
(1) (blank);
(2) prior to final disposal, any white good | ||
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(3) a site operating plan satisfying this Act has | ||
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(c) For the purposes of this Section:
(1) "White goods" shall include all discarded | ||
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(2) "White good components" shall include:
(i) any chlorofluorocarbon refrigerant gas;
(ii) any electrical switch containing mercury;
(iii) any device that contains or may contain | ||
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(iv) any fluorescent lamp that contains mercury.
(d) The Agency is authorized to provide financial assistance to units of
local government from the Solid Waste Management Fund to plan for and
implement programs to collect, transport and manage white goods.
Units of local government may apply jointly for financial
assistance under this Section.
Applications for such financial assistance shall be submitted to the
Agency and must provide a description of:
(A) the area to be served by the program;
(B) the white goods intended to be included in | ||
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(C) the methods intended to be used for | ||
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(D) the property, buildings, equipment and | ||
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(E) the public education systems to be used as | ||
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(F) the safety and security systems that will be | ||
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(G) the intended processing methods for each | ||
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(H) the intended destination for final material | ||
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(I) any staging sites used to handle collected | ||
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The application may be amended to reflect changes in operating
procedures, destinations for collected materials, or other factors.
Financial assistance shall be awarded for a State fiscal year, and
may be renewed, upon application, if the Agency approves the operation
of the program.
(e) All materials collected or received under a program operated with
financial assistance under this Section shall be recycled whenever
possible. Treatment or disposal of collected materials are not eligible
for financial assistance unless the applicant shows and the Agency approves
which materials may be treated or disposed of under various conditions.
Any revenue from the sale of materials collected under such a program
shall be retained by the unit of local government and may be used only for
the same purposes as the financial assistance under this Section.
(f) The Agency is authorized to adopt rules necessary or appropriate to
the administration of this Section.
(g) (Blank).
(Source: P.A. 100-103, eff. 8-11-17; 100-201, eff. 8-18-17; 100-621, eff. 7-20-18.)
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(415 ILCS 5/22.28a)
Sec. 22.28a.
White goods handled by scrap dealership or junkyard.
(a) No owner, operator, agent, or employee of a junkyard or scrap dealership
may knowingly shred, scrap, dismantle, recycle, incinerate, handle, store, or
otherwise manage any white good that contains any white good components in
violation of this Act or any other applicable State or federal law.
(b) For the purposes of this Section, the terms "white goods" and "white
goods components" have the same meaning as in Section 22.28.
(Source: P.A. 92-447, eff. 8-21-01.)
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(415 ILCS 5/22.29) (from Ch. 111 1/2, par. 1022.29)
Sec. 22.29.
(a) Except as provided in subsection (c), any waste
material generated by processing recyclable metals by shredding shall be
managed as a special waste unless a site operating plan has been
approved by the Agency and the conditions of such operating plan are met.
(b) An operating plan submitted to the Agency under this Section shall
include the following concerning recyclable metals processing and
components which may contaminate waste from shredding recyclable metals
(such as lead acid batteries, fuel tanks, or components that contain or may
contain PCB's in a closed system such as a capacitor or ballast):
(1) procedures for inspecting recyclable metals when | ||
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(2) a list of equipment and removal procedures to be | ||
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(3) procedures for safe storage of such components | ||
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(4) procedures to assure that such components and | ||
| ||
(5) identification of how such components and waste | ||
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(6) procedures for sampling and analyzing waste | ||
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(7) a demonstration, including analytical reports, | ||
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(c) Any waste generated as a result of processing recyclable metals by
shredding which is determined to be hazardous waste shall be managed as
a hazardous waste.
(d) The Agency is authorized to adopt rules necessary or appropriate to
the administration of this Section.
(Source: P.A. 100-103, eff. 8-11-17; 100-621, eff. 7-20-18.)
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(415 ILCS 5/22.30) (from Ch. 111 1/2, par. 1022.30)
Sec. 22.30.
Grease trap sludge.
(a) As used in this Section: (i) "treatment works" has the meaning
provided in Section 19.2 of this Act and (ii) "grease trap sludge" means the
solid, lighter than water fraction of wastewaters from the handling,
processing, preparation, cooking, or consumption of food that are discharged to
a pretreatment unit or device commonly referred to as a grease trap. The
principal components of grease trap sludge are fats, oils, and greases.
(b) Beginning January 1, 1992, no person
may dispose of any untreated grease trap sludge by any method of land
application.
(c) Beginning January 1, 1995, no person may cause or allow the discharge,
deposit, or disposal of any grease trap sludge into a treatment works or into
any sewer tributary to a treatment works, except pursuant to the express
authorization, by ordinance or license, of the owner of the treatment works and
the owner of the sewer. Nothing in this subsection shall be construed to
require treatment works or sewer owners to establish any ordinances or programs
to provide such authorization.
(d) Beginning January 1, 1995, no person may cause or allow the
transportation or acceptance of grease trap sludge for rendering, storage,
treatment,
or disposal away from the site where the sludge was generated, unless the
sludge is accompanied by a shipping paper containing, at a minimum, the
information prescribed in subsection (e). No specific form of shipping paper
is required by this Section, but a form may be prescribed pursuant to
subsection (g).
(e) Each shipping paper shall contain at a minimum the following
information:
(1) The name and telephone number of the generator of | ||
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(2) The name, address, and telephone number of the | ||
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(3) The name, street address, and telephone number of | ||
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(f) The grease trap sludge generator, transporter, and management facility
operator shall each retain a copy of the shipping paper for a minimum of 2
years, and shall produce such documents upon request of
the Agency, or the owner of the affected treatment works.
(g) The owner of a treatment works is authorized, but not required, to
establish a program to register or license the collection and transportation of
grease trap sludge from grease traps within the owner's jurisdiction, and to
charge a fee therefor. Further, the owner of a treatment works is authorized,
but not required, to develop and require the use of a particular form of
shipping paper for use in effecting the requirement of subsection (d).
(h) Violations of this Section shall be subject to the civil penalties
specified in subsection (a) of Section 42 of this Act. However, if an action
to enforce this
Section is brought by or on behalf of the owner of a treatment works, the owner
shall be entitled to recover 75% of any penalty assessed.
(Source: P.A. 87-310; 87-895; 88-633, eff. 1-1-95.)
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(415 ILCS 5/22.31) (from Ch. 111 1/2, par. 1022.31)
Sec. 22.31.
Waste reporting.
(a) Beginning January 1, 1992, no landfill or incinerator operator may
accept any nonhazardous solid waste for permanent disposal or incineration
unless the operator makes a record, based on information provided by the
waste transporter, of the state where the waste was generated, or the state
from which the waste was shipped to the disposal facility.
(b) If the waste was generated in or transported from more than one
state, the operator shall estimate the quantity from each state, based on
information provided by the transporter, and record the estimate.
(c) Beginning April 15, 1992, each April 15, July 15, October 15, and
January 15, each landfill or incinerator operator shall provide a report to
the Agency, on forms provided by the Agency, that includes:
(1) The Agency designated site number, the site name, | ||
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(2) The total quantity of solid waste received from | ||
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(Source: P.A. 87-484; 87-895.)
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(415 ILCS 5/22.32) (from Ch. 111 1/2, par. 1022.32)
Sec. 22.32.
Hospital waste assessment.
(a) On or before June 1, 1992, each hospital burning potentially infectious
medical waste on site or transporting such waste to a pollution
control facility shall conduct a waste reduction opportunity assessment that
evaluates methods to reduce the volume and toxicity of infectious wastes,
general refuse and chemical wastes that are generated at the hospital.
At a minimum, the waste reduction assessment shall evaluate the following
reduction options:
(1) improving operating practices;
(2) eliminating or reducing the use of carcinogenic | ||
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(3) increasing the use of analytical instrumentation | ||
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(4) improving inventory control;
(5) recycling;
(6) on-site use and reuse of solvents.
(b) On or before October 1, 1992, each such hospital shall adopt a waste
reduction plan that identifies technically and economically feasible
waste reduction options and a timetable for implementing those options.
The hospital shall consider the quantity of waste, the hazardous properties
of the waste, the safety of its patients and employees, economic costs and
savings, and other appropriate factors in selecting target waste streams
and waste reduction options.
The hospital shall begin implementation of its plan within one year
of its adoption.
(Source: P.A. 87-800; 87-895; 88-182; 88-681, eff. 12-22-94.)
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(415 ILCS 5/22.33)
Sec. 22.33. Compost quality standards.
(a) By January 1, 1994, the Agency shall develop and make recommendations
to the Board concerning (i) performance standards for landscape waste compost
facilities and (ii) testing procedures and standards for the end-product
compost produced by landscape waste compost facilities.
Performance standards for landscape waste compost facilities shall at a
minimum include:
(1) the management of odor;
(2) the management of surface water;
(3) contingency planning for handling end-product | ||
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(4) plans for intended purposes of end-use product; | ||
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(5) a financial assurance plan necessary to restore | ||
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(b) By December 1, 1997, the Board shall adopt:
(1) performance standards for landscape waste compost | ||
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(2) testing procedures and standards for the | ||
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The Board shall evaluate the merits of different standards for
end-product compost applications.
(c) On-site composting that is used solely for the purpose of composting
landscape waste generated on-site and that will not be offered for off-site
sale or use is exempt from any standards promulgated under subsections (a) and
(b). Subsection (b)(2) shall not apply to end-product compost used as daily
cover or vegetative amendment in the final layer. Subsection (b) applies to
any end-product compost offered for sale or use in Illinois.
(d) Standards adopted under this Section do not apply to compost operations exempt from permitting under paragraph (1.5) of subsection (q) of Section 21 of this Act. (Source: P.A. 98-239, eff. 8-9-13.)
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(415 ILCS 5/22.34)
Sec. 22.34. Organic waste compost quality standards.
(a) The Agency may develop and make recommendations to
the Board concerning (i) performance standards for organic waste compost
facilities and (ii) testing procedures and standards for the end-product
compost produced by organic waste compost facilities.
The Agency, in cooperation with the Department, shall appoint a Technical
Advisory Committee for the purpose of developing these recommendations.
Among other things, the Committee shall evaluate environmental and
safety considerations, compliance costs, and regulations adopted in other
states and countries. The Committee shall have balanced
representation and shall include members representing academia, the composting
industry, the Department of Agriculture, the landscaping industry,
environmental organizations, municipalities, and counties.
Performance standards for organic waste compost facilities may include, but are not limited to:
(1) the management of potential exposures for human | ||
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(2) the management of surface water;
(3) contingency planning for handling end-product | ||
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(4) plans for intended purposes of end-use product; | ||
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(5) a financial assurance plan necessary to restore | ||
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(b) No later than one year after the Agency makes recommendations to the Board under subsection (a) of this Section, the Board shall adopt, as applicable:
(1) performance standards for organic waste compost | ||
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(2) testing procedures and standards for the | ||
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The Board shall evaluate the merits of different standards for
end-product compost applications.
(c) On-site residential composting that is used solely for the purpose of
composting organic waste generated on-site and that will not be offered for
off-site sale or use is exempt from any standards promulgated under subsections
(a) and (b). Subsection (b)(2) shall not apply to end-product compost used as
daily cover or vegetative amendment in the final layer. Subsection (b)
applies to any end-product compost offered for sale or use in Illinois.
(d) For the purposes of this Section, "organic waste" means food scrap,
landscape waste, wood waste, livestock waste, crop residue, paper waste, or other non-hazardous carbonaceous waste that is
collected and processed separately from the rest of the municipal waste stream.
(e) Except as otherwise provided in Board rules, solid waste permits for organic waste composting facilities shall be issued under the Board's Solid Waste rules at 35 Ill. Adm. Code 807. The permits must include, but shall not be limited to, measures designed to reduce pathogens in the compost. (f) Standards adopted under this Section do not apply to compost operations exempt from permitting under paragraph (1.5) of subsection (q) of Section 21 of this Act. (Source: P.A. 98-239, eff. 8-9-13.)
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(415 ILCS 5/22.35)
Sec. 22.35.
Mixed municipal waste compost quality standards.
(a) By January 1, 1994, the Agency shall develop and make recommendations to
the Board concerning (i) performance standards for mixed municipal waste
compost facilities and (ii) testing procedures and standards for the
end-product compost produced by mixed municipal waste compost facilities.
The Agency, in cooperation with the Department, shall appoint a Technical
Advisory Committee for the purpose of developing these recommendations.
Among other things, the Committee shall evaluate environmental and
safety considerations, compliance costs, and regulations adopted in other
states and countries. The Committee shall have balanced
representation and shall include members representing academia, the composting
industry, the Department of Agriculture, the landscaping industry,
environmental organizations, municipalities, and counties.
Performance standards for mixed municipal waste compost facilities shall
at a minimum include:
(1) the management of vectors, potential exposures | ||
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(2) the management of surface water and leachate;
(3) provisions restricting the processing of | ||
| ||
(4) contingency planning for handling residuals and | ||
| ||
(5) plans for intended purpose of end-use product; and
(6) a financial assurance plan necessary to restore | ||
| ||
(b) By December 1, 1997, the Board shall adopt:
(1) performance standards for mixed municipal waste | ||
| ||
(2) testing procedures and standards for the | ||
| ||
The Board shall evaluate the merits of different standards for
end-product compost applications.
(c) Subsection (b)(2) shall not apply to end-product compost used as
daily cover or vegetative amendment in the final layer. Subsection (b)
applies to any end-product compost offered for sale or use in Illinois.
(d) For the purpose of this Section, "mixed municipal waste" means
municipal waste generated by households and commercial businesses that has not
been separated for composting at the point of generation.
(Source: P.A. 87-1227; 88-690, eff. 1-24-95.)
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(415 ILCS 5/22.36)
Sec. 22.36.
Solid waste disposal site; underground hazards.
(a) The Agency may not issue any new permit for the construction or
development of any solid waste disposal facility that is proposed
to be located above an active or inactive shaft or tunnelled mine or within 200
feet of a fault that has had displacement within Holocene time, unless
engineering measures have been incorporated into the facility design to ensure
that the integrity of the structural components of the facility will not be
disrupted by geological processes.
(b) For the purposes of this Section, "structural components" means liners,
leachate collection systems, final covers, run-on and run-off
systems, and any other component used in the construction and operation of a
solid waste disposal facility that is necessary for protection of
human health and the environment.
(Source: P.A. 88-447.)
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(415 ILCS 5/22.38)
Sec. 22.38. General construction or demolition debris recovery facilities.
(a) General construction or demolition debris recovery facilities shall be subject to local zoning, ordinance,
and
land use requirements.
General construction or demolition debris recovery facilities shall be located in accordance with local zoning requirements
or, in the absence of local zoning requirements, shall be located so that no
part of the facility boundary is closer than 1,320 feet from the nearest
property zoned for primarily residential use.
(b) An owner or operator of a general construction or demolition debris recovery facility shall:
(0.5) Ensure that no less than 40% of the total | ||
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(1) Within 48 hours after receipt of the general | ||
| ||
(2) Transport off site for disposal, in accordance | ||
| ||
(3) Use best management practices to identify and | ||
| ||
(4) Within 45 calendar days after receipt, transport | ||
| ||
(5) Within 6 months after receipt, transport off-site | ||
| ||
(6) Employ tagging and recordkeeping procedures to, | ||
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(7) Control odor, noise, combustion of materials, | ||
| ||
(8) Control, manage, and dispose of any storm water | ||
| ||
(9) Control access to the facility.
(10) Comply with all applicable federal, State, or | ||
| ||
(11) For an owner or operator that first received | ||
| ||
(12) On or after August 24, 2009 (the effective date | ||
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(c) For purposes of this Section, the term "recyclable general
construction or demolition debris" means general construction or demolition
debris that is being reclaimed from the general construction or demolition debris waste stream and (i) is rendered reusable and is reused or (ii) would otherwise
be disposed of or discarded but is collected, separated, or processed and
returned to the economic mainstream in the form of raw materials or products.
"Recyclable general construction or demolition debris" does not include general
construction or demolition debris that is (i) recovered for use as fuel or that is otherwise incinerated or
burned, (ii) buried or used as fill material, including, but not limited to,
the use of any clean construction or demolition debris
fraction of general construction or demolition debris as
fill material under subsection (b) of Section 3.160 or at a
clean construction or demolition debris fill operation
under Section 22.51, or (iii) disposed of at a landfill.
(d) (Blank).
(e) For purposes of this Section, wood recovered for use as fuel is wood that is recovered from the general construction or demolition debris waste stream for use as fuel, as authorized by the applicable state or federal environmental regulatory authority, and supplied only to intermediate processing facilities for sizing, or to combustion facilities for use as fuel, that have obtained all necessary waste management and air permits for handling and combustion of the fuel. (f) (Blank). (g) (Blank). (h) (Blank). (i) (Blank). (j) No person shall cause or allow the acceptance of any waste at a general construction or demolition debris recovery facility, other than general construction or demolition debris. (k) No person shall cause or allow the deposit or other
placement of any general construction or demolition debris
that is received at a general construction or demolition
debris recovery facility, including any clean construction
or demolition debris fraction, into or on any land or
water. However, any clean construction or
demolition debris fraction may be used as fill or road
construction material at a clean construction or demolition
debris fill operation under Section 22.51 and any rules or regulations
adopted thereunder if the clean construction or demolition
debris is separated and managed separately from other
general construction or demolition debris and otherwise
meets the requirements applicable to clean construction or
demolition debris at a clean construction or demolition
debris fill operation. (l) Beginning one year after the effective date of rules adopted by the Board under subsection (n), no person shall own or operate a general construction or demolition debris recovery facility without a permit issued by the Agency. (m) In addition to any other requirements of this Act, no person shall, at a general construction or demolition debris recovery facility, cause or allow the storage or treatment of general construction or demolition debris in violation of this Act, any regulations or standards adopted under this Act, or any condition of a permit issued under this Act. (n) No later than one year after the effective date of this amendatory Act of the 102nd General Assembly, the Agency shall propose to the Board, and no later than one year after receipt of the Agency's proposal, the Board shall adopt, rules for the permitting of general construction or demolition debris recovery facilities. Such rules shall include, but not be limited to: requirements for material receipt, handling, storage, and transfer; improvements to best management practices for identifying, testing for, and removing drywall containing gypsum; recordkeeping; reporting; limiting or prohibiting sulfur in wallboard used or disposed of at landfills; and requirements for the separation and separate management of any clean construction or demolition debris that will be transported to a clean construction or demolition debris fill operation. (Source: P.A. 102-310, eff. 8-6-21.)
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(415 ILCS 5/22.38a)
Sec. 22.38a. (Repealed).
(Source: P.A. 99-317, eff. 8-7-15. Repealed by P.A. 102-310, eff. 8-6-21.)
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(415 ILCS 5/22.40)
Sec. 22.40.
Municipal solid waste landfill rules.
(a) In accordance with Sec. 7.2, the Board shall adopt rules that
are identical in substance to federal regulations or amendments thereto
promulgated by the Administrator of the United States Environmental Protection
Agency to implement Sections 4004 and 4010 of the Resource Conservation and
Recovery Act of 1976 (P.L. 94-580) insofar as those regulations relate to a
municipal solid waste landfill unit program. The Board may consolidate into
a single rulemaking under this Section all such federal regulations adopted
within a period of time not to exceed 6 months. Where the federal regulations
authorize the State to adopt alternative standards, schedules, or procedures to
the standards, schedules, or procedures contained in the federal regulations,
the Board may adopt alternative standards, schedules, or procedures under
subsection (b) or retain existing Board rules that establish alternative
standards, schedules, or procedures that are not inconsistent with the federal
regulations. The Board may consolidate into a single rulemaking under this
Section all such federal regulations adopted within a period of time not to
exceed 6 months.
The provisions and requirements of Title VII of this Act shall not apply to
rules adopted under this subsection (a). Section 5-35 of the Illinois
Administrative Procedure Act relating to the procedures for rulemaking shall
not apply to regulations adopted under this subsection (a).
(b) The Board may adopt regulations relating to a State municipal solid
waste landfill program that are not inconsistent with the Resource Conservation
and Recovery Act of 1976 (P.L. 94-580), or regulations adopted thereunder.
Rules adopted under this subsection shall be adopted in accordance with the
provisions and requirements of Title VII of this Act and the procedures for
rulemaking in Section 5-35 of the Illinois Administrative Procedure Act.
(c) (Blank.)
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/22.40a) Sec. 22.40a. Disposal of manufactured gas plant waste in waste disposal sites other than permitted hazardous waste disposal sites prohibited. Notwithstanding any other law or regulation, no person shall dispose, in a waste disposal site other than a permitted hazardous waste disposal site, waste generated from the remediation of a manufactured gas plant site or facility, unless (i) the waste is tested using Method 1311 (Toxicity Characteristic Leaching Procedure (TCLP)) in "Test Methods for Evaluating Solid Waste, Physical/Chemical Methods," USEPA Publication Number EPA 530/SW-846, and (ii) that analysis demonstrates that the waste does not exceed the regulatory levels for any contaminant given in the table contained in 40 C.F.R. 261.24(b).
(Source: P.A. 99-365, eff. 1-1-16 .) |
(415 ILCS 5/22.41)
Sec. 22.41.
(Repealed).
(Source: P.A. 88-496. Repealed by P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/22.42)
Sec. 22.42.
(Repealed).
(Source: P.A. 88-496. Repealed by P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/22.43)
Sec. 22.43.
Permit modifications for lateral expansions.
The Agency may
issue a permit modification for a lateral expansion, as defined in Section
3.275 of this Act, for an existing MSWLF unit under Section 39 of this Act to a
person required to obtain such a permit modification under
subsection (t) of Section 21 of this Act.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/22.43a) Sec. 22.43a. Establishment and expansion of landfills; ban in counties with more than 2,000,000 inhabitants. (a) Notwithstanding any other provision of law, no person shall establish, nor shall the Agency issue a permit for the establishment of, a new municipal solid waste landfill unit or a new sanitary landfill in a county of more than 2,000,000 inhabitants on or after the effective date of this amendatory Act of the 97th General Assembly. (b) Notwithstanding any other provision of law, no person shall laterally expand, nor shall the Agency issue a permit for the lateral expansion of, a municipal solid waste landfill unit or the expansion of a sanitary landfill in a county of more than 2,000,000 inhabitants on or after the effective date of this amendatory Act of the 97th General Assembly.
(Source: P.A. 97-843, eff. 7-23-12.) |
(415 ILCS 5/22.44)
Sec. 22.44. Subtitle D management fees.
(a) There is created within the State treasury a special fund to be
known as the "Subtitle D Management Fund" constituted from the fees collected
by the State under this Section.
(b) The Agency shall assess and collect
a fee in the amount set forth in this subsection from the owner or operator of
each sanitary landfill permitted or required to be permitted by the Agency to
dispose of solid waste if the sanitary landfill is located off the site where
the waste was produced and if the sanitary landfill is owned, controlled, and
operated by a person other than the generator of the waste. The Agency shall
deposit all fees collected under this subsection into the Subtitle D
Management Fund. If a site is contiguous to one or more landfills owned or
operated by the same person, the volumes permanently disposed of by each
landfill shall be combined for purposes of determining the fee under this
subsection.
(1) If more than 150,000 cubic yards of non-hazardous | ||
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(2) If more than 100,000 cubic yards, but not more | ||
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(3) If more than 50,000 cubic yards, but not more | ||
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(4) If more than 10,000 cubic yards, but not more | ||
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(5) If not more than 10,000 cubic yards of | ||
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(c) The fee under subsection (b) shall not apply to any of the following:
(1) Hazardous waste.
(2) Pollution control waste.
(3) Waste from recycling, reclamation, or reuse | ||
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(4) Non-hazardous solid waste that is received at a | ||
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(5) Any landfill that is permitted by the Agency to | ||
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(d) The Agency shall establish rules relating to the collection of the
fees authorized by this Section. These rules shall include, but not be
limited to the following:
(1) Necessary records identifying the quantities of | ||
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(2) The form and submission of reports to accompany | ||
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(3) The time and manner of payment of fees to the | ||
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(4) Procedures setting forth criteria establishing | ||
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(e) Fees collected under this Section shall be in addition to any other fees
collected under any other Section.
(f) The Agency shall not refund any fee paid to it under this Section.
(g) Pursuant to appropriation, all moneys in the Subtitle D Management
Fund shall be used by the Agency to administer the United States Environmental
Protection Agency's Subtitle D Program provided in Sections 4004 and 4010 of
the Resource Conservation and Recovery Act of 1976 (P.L. 94-580) as it relates
to a municipal solid waste landfill program in Illinois and to fund a
delegation of inspecting, investigating, and enforcement functions, within the
municipality only, pursuant to subsection (r) of Section 4 of this Act to a
municipality having a population of more than 1,000,000 inhabitants. The
Agency shall execute a delegation agreement pursuant to subsection (r) of
Section 4 of this Act with a municipality having a population of more than
1,000,000 inhabitants within 90 days of September 13, 1993 and shall on an
annual basis distribute from
the Subtitle D Management Fund to that municipality no less than $150,000. Pursuant to appropriation, moneys in the Subtitle D Management Fund may also be used by the Agency for activities conducted under Section 22.15a of this Act.
(Source: P.A. 102-310, eff. 8-6-21.)
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(415 ILCS 5/22.45)
Sec. 22.45.
Subtitle D management fee exemptions; pre-existing contracts.
(a) The Agency shall grant exemptions from the fee requirements of Section
22.44 of this Act for permanent disposal or transport of solid waste meeting
all of the following criteria:
(1) Permanent disposal of the solid waste is pursuant | ||
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(2) The contract for permanent disposal or transport | ||
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(3) The contract for permanent disposal or transport | ||
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(4) The contract was lawfully executed on or before | ||
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(b) Exemptions granted under this Section shall cause the solid waste
received by an owner or operator of a sanitary landfill pursuant to a contract
exempted under this Section to be disregarded in calculating the volume or
weight of solid waste permanently disposed of during a calendar year under
Section 22.44 of this Act.
(c) An owner or operator of a sanitary landfill shall keep accurate records
and prove, to the satisfaction of the Agency, the volume or weight of solid
waste received under an exemption during a calendar year.
(d) Exemptions under this Section shall expire upon the expiration, renewal,
or amendment of the exempted contract, whichever occurs first.
(e) For the purposes of this Section, the term "some other person" shall
only include persons that are independent operating entities. For purposes of
this Section, a person is not an independent operating entity if:
(1) the person has any officers or directors that are | ||
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(2) the person is a parent corporation, subsidiary, | ||
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(3) the person and the owner or operator of the | ||
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(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/22.46)
Sec. 22.46.
Subtitle D management fee exemptions; types of waste.
(a) In accordance with the findings and purpose of the Illinois Solid Waste
Management Act, the Agency shall grant exemptions from the fee requirements of
Section 22.44 of this Act for solid waste meeting all of the following
criteria:
(1) The waste is nonputrescible and homogeneous and | ||
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(2) Combustion of the waste would not provide | ||
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(3) The applicant for exemption demonstrates that it | ||
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(b) Exemptions granted under this Section shall cause the solid waste
exempted under subsection (a) that is permanently disposed of by an owner or
operator of a sanitary landfill to be disregarded in calculating the volume or
weight of solid waste permanently disposed of during a calendar year under
Section 22.44 of this Act.
(c) Applications for exemptions under this Section must be submitted on
forms
provided by the Agency for that purpose, together with proof of satisfaction of
all criteria for granting the exemption.
(d) If the Agency denies a request made under subsection (a), the
applicant may seek review before the Board under Section 40 as if the
Agency had denied an application for a permit. If the Agency fails to act
within 90 days after receipt of an application, the request shall be deemed
granted until such time as the Agency has taken final action.
(e) An owner or operator of a sanitary landfill shall keep accurate records
and to prove to the satisfaction of the Agency the volume or weight of solid
waste received under an exemption during a calendar year.
(Source: P.A. 88-496.)
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(415 ILCS 5/22.47)
Sec. 22.47.
School district hazardous educational waste collection.
(a) The Agency shall develop, implement, and fund (through appropriations
for that purpose from the General Revenue Fund) a program to collect school
district hazardous educational waste from school districts and schools in the
State. The program shall provide for the availability for collection,
transportation, and appropriate management of hazardous educational wastes for
each school district or school by private contractors at least every 3 years.
(b) A school district or school may participate in a hazardous educational
waste collection program by:
(1) Notifying the Agency of the hazardous educational | ||
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(A) Waste types.
(B) Waste volumes.
(C) Number of containers.
(D) Condition of containers.
(E) Location of containers.
(2) Maintaining wastes in the original containers, if | ||
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(3) Labeling each container if contents are known.
(4) Following Agency instructions on waste | ||
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(c) The Agency shall accept applications from school districts or schools
throughout the year. The Agency shall designate waste haulers throughout the
State qualified to remove school district hazardous waste at the request of a
school district or school. By March 1 and September 1 of each year the Agency
shall prepare a schedule of school districts or schools that have been selected
for collections over the next 6 months. The selections shall be based on the
waste types and volumes, geographic distribution, order of application, and
expected costs balanced by available resources. The Agency shall notify each
selected school or school district of the date of collection and instruction
on waste preparation.
(d) For purposes of this Section "hazardous educational waste" means a
waste product that could pose a hazard during normal storage, transportation,
or disposal generated from an instructional curriculum including laboratory
wastes, expired chemicals, unstable compounds, and toxic or flammable
materials. "Hazardous educational waste" does not include wastes generated
as a result of building, grounds, or vehicle maintenance, asbestos abatement,
lead paint abatement, or other non-curriculum activities.
(e) (Blank.)
(f) The Agency is authorized to use funds from the Solid Waste Management
Fund to implement this Section.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/22.48)
Sec. 22.48.
Non-special waste certification; effect on permit.
(a) An industrial process waste or pollution control waste not within the
exception set forth in subdivision (2) of subsection (c) of Section 3.475 of this Act must be managed as special waste unless the generator
first certifies in a signed, dated, written statement that the waste is outside
the scope of the categories listed in subdivision (1) of subsection (c) of
Section 3.475 of this Act.
(b) All information used to determine that the waste is not a special waste
shall be attached to the certification. The information shall include but not
be limited to:
(1) the means by which the generator has determined | ||
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(2) the means by which the generator has determined | ||
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(3) if the waste undergoes testing, the analytic | ||
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(4) if the waste does not undergo testing, an | ||
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(5) a description of the process generating the | ||
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(6) relevant Material Data Safety Sheets.
(c) Certification made pursuant to this Section shall be effective from
the date signed until there is a change in the generator, in the raw materials
used, or in the process generating the waste.
(d) Certification made pursuant to this Section, with the requisite
attachments, shall be maintained by the certifying generator while effective
and for at least 3 years following a change in the generator, a change in the
raw materials used, or a change in or termination of the process generating
the waste. The generator shall provide a copy of the certification, upon
request by the Agency, the waste hauler, or the operator of the facility
receiving the waste for storage, treatment, or disposal, to the party
requesting the copy. If the Agency believes that the waste that is the
subject of the certification has been inaccurately certified to, the Agency
may require the generator to analytically test the waste for the constituent
believed to be present and provide the Agency with a copy of the analytic
results.
(e) A person who knowingly and falsely certifies that a waste is not special
waste is subject to the penalties set forth in subdivision (6) of subsection
(h) of Section 44 of this Act.
(f) To the extent that a term or condition of an existing permit requires
the permittee to manage as special waste a material that is made a non-special
waste under Public Act 90-502, that term
or condition is hereby superseded, and the permittee may manage that material
as a non-special waste, even if the material is identified in the permit as
part of a particular waste stream rather than identified specifically as a
special waste.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/22.49)
Sec. 22.49.
Animal cremation.
Unless subject to the requirements of Title
XV of this Act as potentially infectious medical waste, a deceased companion
animal, as defined in the Companion Animal Cremation Act, that is delivered to
a provider of companion animal cremation services subject to the Companion
Animal Cremation Act is not waste for the purposes of this Act. Providing
companion animal cremation services at a location does not make that location a
waste management facility for the purposes of this Act.
For the purposes of this Section, "companion animal" does not include
livestock.
(Source: P.A. 93-121, eff. 1-1-04.)
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(415 ILCS 5/22.50)
Sec. 22.50. Compliance with land use limitations. No person shall use, or cause or allow the use of, any site for which a land use limitation has been imposed under this Act in a manner inconsistent with the land use limitation unless further investigation or remedial action has been conducted that documents the attainment of remedial objectives appropriate for the new land use and a new closure letter has been obtained from the Agency and recorded in the chain of title for the site. For the purpose of this Section, the term "land use limitation" shall include, but shall not be limited to, institutional controls and engineered barriers imposed under this Act and the regulations adopted under this Act. For the purposes of this Section, the term "closure letter" shall include, but shall not be limited to, No Further Remediation Letters issued under Titles XVI and XVII of this Act and the regulations adopted under those Titles.
(Source: P.A. 94-272, eff. 7-19-05; 94-314, eff. 7-25-05; 95-331, eff. 8-21-07.) |
(415 ILCS 5/22.50a) Sec. 22.50a. Compliance with environmental covenants. No person shall use, or cause or allow the use of, any site subject to an environmental covenant created under the Uniform Environmental Covenants Act in a manner that is inconsistent with the activity and use limitations imposed under the environmental covenant. For purposes of this Section, the terms "activity and use limitations" and "environmental covenant" shall mean "activity and use limitations" and "environmental covenant" as those terms are defined in the Uniform Environmental Covenants Act.
(Source: P.A. 97-220, eff. 7-28-11.) |
(415 ILCS 5/22.51)
Sec. 22.51. Clean Construction or Demolition Debris Fill Operations. (a) No person shall conduct any clean construction or demolition debris fill operation in violation of this Act or any regulations or standards adopted by the Board. (b)(1)(A) Beginning August 18, 2005 but prior to July 1, 2008, no person shall use clean construction or demolition debris as fill material in a current or former quarry, mine, or other excavation, unless they have applied for an interim authorization from the Agency for the clean construction or demolition debris fill operation. (B) The Agency shall approve an interim authorization upon its receipt of a written application for the interim authorization that is signed by the site owner and the site operator, or their duly authorized agent, and that contains the following information: (i) the location of the site where the clean construction or demolition debris fill operation is taking place, (ii) the name and address of the site owner, (iii) the name and address of the site operator, and (iv) the types and amounts of clean construction or demolition debris being used as fill material at the site. (C) The Agency may deny an interim authorization if the site owner or the site operator, or their duly authorized agent, fails to provide to the Agency the information listed in subsection (b)(1)(B) of
this Section. Any denial of an interim authorization shall be subject to appeal to the Board in accordance with the procedures of Section 40 of this Act. (D) No person shall use clean construction or demolition debris as fill material in a current or former quarry, mine, or other excavation for which the Agency has denied interim authorization under subsection (b)(1)(C) of this Section. The Board may stay the prohibition of this subsection (D) during the pendency of an appeal of the Agency's denial of the interim authorization brought under subsection (b)(1)(C) of this Section. (2) Beginning September 1, 2006, owners and
operators of clean construction or demolition debris fill operations shall, in accordance with a schedule prescribed by the Agency, submit to the Agency applications for the
permits required under this Section. The Agency shall notify owners and operators in writing of the due date for their permit application. The due date shall be no less than 90 days after the date of the Agency's written notification. Owners and operators who do not receive a written notification from the Agency by October 1, 2007, shall submit a permit application to the Agency by January 1, 2008. The interim authorization of owners and operators who fail to submit a permit application to the Agency by the permit application's due date shall terminate on (i) the due
date established by the Agency if the owner or operator received a written notification from the Agency prior to
October 1, 2007, or (ii) or January 1, 2008, if the owner or operator did not receive a written notification from the Agency by October 1, 2007. (3) On and after July 1, 2008, no person shall use clean construction or demolition debris as fill material in a current or former quarry, mine, or other excavation (i) without a permit granted by the Agency for the clean construction or demolition debris fill operation or in violation of any conditions imposed by such permit, including periodic reports and full access to adequate records and the inspection of facilities, as may be necessary to assure compliance with this Act and with Board regulations and standards adopted under this Act or (ii) in violation of any regulations or standards adopted by the Board under this Act. (4) This subsection (b) does not apply to: (A) the use of clean construction or demolition | ||
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(B) the use of clean construction or demolition | ||
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(C) current or former quarries, mines, and other | ||
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(c) In accordance with Title VII of this Act, the Board may adopt regulations to promote the purposes of this Section. The Agency shall consult with the mining and construction industries during the development of any regulations to promote the purposes of this Section. (1) No later than December 15, 2005, the Agency shall | ||
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(2) Until the Board adopts rules under subsection | ||
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(A) Assure that only clean construction or | ||
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(B) Retain for a minimum of 3 years the following | ||
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(i) The name of the hauler, the name of the | ||
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(ii) The approximate weight or volume of the | ||
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(iii) The date the debris or soil was | ||
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(d) This Section applies only to clean construction or demolition debris that is not considered "waste" as provided in Section 3.160 of this Act. (e) For purposes of this Section: (1) The term "operator" means a person responsible | ||
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(2) The term "owner" means a person who has any | ||
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(3) The term "clean construction or demolition debris | ||
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(4) The term "uncontaminated soil" shall have the | ||
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(f)(1) No later than one year after the effective date of this amendatory Act of the 96th General Assembly, the Agency shall propose to the Board, and, no later than one year after the Board's receipt of the Agency's proposal, the Board shall adopt, rules for the use of clean construction or demolition debris and uncontaminated soil as fill material at clean construction or demolition debris fill operations. The rules must include standards and procedures necessary to protect groundwater, which may include, but shall not be limited to, the following: requirements regarding testing and certification of soil used as fill material, surface water runoff, liners or other protective barriers, monitoring (including, but not limited to, groundwater monitoring), corrective action, recordkeeping, reporting, closure and post-closure care, financial assurance, post-closure land use controls, location standards, and the modification of existing permits to conform to the requirements of this Act and Board rules. The rules may also include limits on the use of recyclable concrete and asphalt as fill material at clean construction or demolition debris fill operations, taking into account factors such as technical feasibility, economic reasonableness, and the availability of markets for such materials. (2) Until the effective date of the Board rules adopted under subdivision (f)(1) of this Section, and in addition to any other requirements, owners and operators of clean construction or demolition debris fill operations must do all of the following in subdivisions (f)(2)(A) through (f)(2)(D) of this Section for all clean construction or demolition debris and uncontaminated soil accepted for use as fill material. The requirements in subdivisions (f)(2)(A) through (f)(2)(D) of this Section shall not limit any rules adopted by the Board. (A) Document the following information for each load | ||
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(B) For all soil, obtain either (i) a certification | ||
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(C) Confirm that the clean construction or demolition | ||
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(D) Document all activities required under | ||
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(3) Owners and operators of clean construction or demolition debris fill operations must maintain all documentation required under subdivision (f)(2) of this Section for a minimum of 3 years following the receipt of each load of clean construction or demolition debris or uncontaminated soil, 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. Copies of the documentation must be made available to the Agency and to units of local government for inspection and copying during normal business hours. The Agency may prescribe forms and formats for the documentation required under subdivision (f)(2) of this Section. Chemical analysis conducted under subdivision (f)(2) of this Section must be conducted in accordance with the requirements of 35 Ill. Adm. Code 742, as amended, and "Test Methods for Evaluating Solid Waste, Physical/Chemical Methods", USEPA Publication No. SW-846, as amended. (g)(1) No person shall use soil other than uncontaminated soil as fill material at a clean construction or demolition debris fill operation. (2) No person shall use construction or demolition debris other than clean construction or demolition debris as fill material at a clean construction or demolition debris fill operation.
(Source: P.A. 96-1416, eff. 7-30-10; 97-137, eff. 7-14-11.) |
(415 ILCS 5/22.51a) Sec. 22.51a. Uncontaminated Soil Fill Operations. (a) For purposes of this Section: (1) The term "uncontaminated soil" shall have the | ||
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(2) The term "uncontaminated soil fill operation" | ||
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(b) No person shall use soil other than uncontaminated soil as fill material at an uncontaminated soil fill operation. (c) Owners and operators of uncontaminated soil fill operations must register the fill operations with the Agency. Uncontaminated soil fill operations that received uncontaminated soil prior to the effective date of this amendatory Act of the 96th General Assembly must be registered with the Agency no later than March 31, 2011. Uncontaminated soil fill operations that first receive uncontaminated soil on or after the effective date of this amendatory Act of the 96th General Assembly must be registered with the Agency prior to the receipt of any uncontaminated soil. Registrations must be submitted on forms and in a format prescribed by the Agency. (d)(1) No later than one year after the effective date of this amendatory Act of the 96th General Assembly, the Agency shall propose to the Board, and, no later than one year after the Board's receipt of the Agency's proposal, the Board shall adopt, rules for the use of uncontaminated soil as fill material at uncontaminated soil fill operations. The rules must include standards and procedures necessary to protect groundwater, which shall include, but shall not be limited to, testing and certification of soil used as fill material and requirements for recordkeeping. (2) Until the effective date of the Board rules adopted under subdivision (d)(1) of this Section, owners and operators of uncontaminated soil fill operations must do all of the following in subdivisions (d)(2)(A) through (d)(2)(F) of this Section for all uncontaminated soil accepted for use as fill material. The requirements in subdivisions (d)(2)(A) through (d)(2)(F) of this Section shall not limit any rules adopted by the Board. (A) Document the following information for each load | ||
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(B) Obtain either (i) a certification from the owner | ||
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(C) Confirm that the uncontaminated soil was not | ||
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(D) Visually inspect each load to confirm that only | ||
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(E) Screen each load of uncontaminated soil using a | ||
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(F) Document all activities required under | ||
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(3) Owners and operators of uncontaminated soil fill operations must maintain all documentation required under subdivision (d)(2) of this Section for a minimum of 3 years following the receipt of each load of uncontaminated soil, 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. Copies of the documentation must be made available to the Agency and to units of local government for inspection and copying during normal business hours. The Agency may prescribe forms and formats for the documentation required under subdivision (d)(2) of this Section. Chemical analysis conducted under subdivision (d)(2) of this Section must be conducted in accordance with the requirements of 35 Ill. Adm. Code 742, as amended, and "Test Methods for Evaluating Solid Waste, Physical/Chemical Methods", USEPA Publication No. SW-846, as amended.
(Source: P.A. 96-1416, eff. 7-30-10; 97-137, eff. 7-14-11.) |
(415 ILCS 5/22.51b) Sec. 22.51b. Fees for permitted facilities accepting clean construction or demolition debris or uncontaminated soil. (a) The Agency shall assess and collect a fee from the owner or operator of each clean construction or demolition debris fill operation that is permitted or required to be permitted by the Agency. The fee assessed and collected under this subsection shall be 28 cents per cubic yard of clean construction or demolition debris or uncontaminated soil accepted by the clean construction or demolition debris fill operation, or, alternatively, the owner or operator may weigh the quantity of the clean construction or demolition debris or uncontaminated soil with a device for which certification has been obtained under the Weights and Measures Act and pay a fee of 20 cents per ton of clean construction or demolition debris or uncontaminated soil. The fee shall apply to construction or demolition debris or uncontaminated soil if (i) the clean construction or demolition debris fill operation is located off the site where the clean construction or demolition debris or uncontaminated soil was generated and (ii) the clean construction or demolition debris fill operation is owned, controlled, and operated by a person other than the generator of the clean construction or demolition debris or uncontaminated soil. (b) The Agency shall establish rules relating to the collection of the fees authorized by subsection (a) of this Section. These rules shall include, but are not limited to, the following: (1) Records identifying the quantities of clean | ||
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(2) The form and submission of reports to accompany | ||
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(3) The time and manner of payment of fees to the | ||
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(c) Fees collected under this Section shall be in addition to any other fees collected under any other Section. (d) The Agency shall not refund any fee paid to it under this Section. (e) The Agency shall deposit all fees collected under this subsection into the Environmental Protection Permit and Inspection Fund. Pursuant to appropriation, all moneys collected under this Section shall be used by the Agency for the implementation of this Section and for permit and inspection activities. (f) A unit of local government, as defined in the Local Solid Waste Disposal Act, in which a clean construction or demolition debris fill operation is located and which has entered into a delegation agreement with the Agency pursuant to subsection (r) of Section 4 of this Act for inspection, investigation, or enforcement functions related to clean construction or demolition debris fill operations may establish a fee, tax, or surcharge with regard to clean construction or demolition debris or uncontaminated soil accepted by clean construction or demolition debris fill operations. All fees, taxes, and surcharges collected under this subsection shall be used for inspection, investigation, and enforcement functions performed by the unit of local government pursuant to the delegation agreement with the Agency and for environmental safety purposes. Fees, taxes, and surcharges established under this subsection (f) shall not exceed a total of 20 cents per cubic yard of clean construction or demolition debris or uncontaminated soil accepted by the clean construction or demolition debris fill operation, unless the owner or operator weighs the quantity of the clean construction or demolition debris or uncontaminated soil with a device for which certification has been obtained under the Weights and Measures Act, in which case the fee shall not exceed 14 cents per ton of clean construction or demolition debris or uncontaminated soil. (g) For the purposes of this Section: (1) The term "uncontaminated soil" shall have the | ||
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(2) The term "clean construction or demolition debris | ||
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(Source: P.A. 102-271, eff. 1-1-22 .) |
(415 ILCS 5/22.52)
Sec. 22.52. Conflict of interest. Effective 30 days after the effective date of this amendatory Act of the 94th General Assembly, none of the following persons shall have a direct financial interest in or receive a personal financial benefit from any waste-disposal operation or any clean construction or demolition debris fill operation that requires a permit or interim authorization under this Act, or any corporate entity related to any such waste-disposal operation or clean construction or demolition debris fill operation: (i) the Governor of the State of Illinois; (ii) the Attorney General of the State of Illinois; (iii) the Director of the Illinois Environmental | ||
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(iv) the Chairman of the Illinois Pollution Control | ||
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(v) the members of the Illinois Pollution Control | ||
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(vi) the staff of any person listed in items (i) | ||
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(vii) a relative of any person listed in items (i) | ||
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The prohibitions of this Section shall apply during the person's term of State employment and shall continue for 5 years after the person's termination of State employment. The prohibition of this Section shall not apply to any person whose State employment terminates prior to 30 days after the effective date of this amendatory Act of the 94th General Assembly. For the purposes of this Section: (a) The terms "direct financial interest" and | ||
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(b) The term "relative" means father, mother, son, | ||
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(Source: P.A. 94-272, eff. 7-19-05.) |
(415 ILCS 5/22.53)
Sec. 22.53. (Repealed).
(Source: P.A. 95-331, eff. 8-21-07. Repealed by P.A. 99-933, eff. 1-27-17.)
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(415 ILCS 5/22.54) Sec. 22.54. Beneficial Use Determinations. The purpose of this Section is to allow the Agency to determine that a material otherwise required to be managed as waste may be managed as non-waste if that material is used beneficially and in a manner that is protective of human health and the environment. (a) To the extent allowed by federal law, the Agency may, upon the request of an applicant, make a written determination that a material is used beneficially (rather than discarded) and, therefore, not a waste if the applicant demonstrates all of the following: (1) The chemical and physical properties of the | ||
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(2) The market demand for the material is such that | ||
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(A) The material will be used within a reasonable | ||
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(B) The material's storage prior to use will be | ||
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(C) The material will not be abandoned. (3) The material is legitimately beneficially used. | ||
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(A) The material is managed separately from | ||
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(B) The material is used as an effective | ||
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(i) The material is used as a valuable raw | ||
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(ii) The material is used directly as a | ||
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(iii) The material replaces a catalyst or | ||
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The applicant's demonstration under this | ||
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(C) The applicant demonstrates all of the | ||
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(i) The material is used under paragraph (B) | ||
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(ii) The material's storage prior to use is | ||
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(iii) The material is not abandoned. (4) The management and use of the material will not | ||
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(5) The management and use of the material otherwise | ||
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(b) Applications for beneficial use determinations must be submitted on forms and in a format prescribed by the Agency. Agency approval, approval with conditions, or disapproval of an application for a beneficial use determination must be in writing. Approvals with conditions and disapprovals of applications for a beneficial use determination must include the Agency's reasons for the conditions or disapproval, and they are subject to review under Section 40 of this Act. (c) Beneficial use determinations shall be effective for a period approved by the Agency, but that period may not exceed 5 years. Material that is beneficially used (i) in accordance with a beneficial use determination, (ii) during the effective period of the beneficial use determination, and (iii) by the recipient of a beneficial use determination shall maintain its non-waste status after the effective period of the beneficial use determination unless its use no longer complies with the terms of the beneficial use determination or the material otherwise becomes waste. (d) No recipient of a beneficial use determination shall manage or use the material that is the subject of the determination in violation of the determination or any conditions in the determination, unless the material is managed as waste. (e) A beneficial use determination shall terminate by operation of law if, due to a change in law, it conflicts with the law; however, the recipient of the determination may apply for a new beneficial use determination that is consistent with the law as amended. (f) This Section does not apply to hazardous waste, coal combustion waste, coal combustion by-product, sludge applied to the land, potentially infectious medical waste, or used oil. (g) This Section does not apply to material that is burned for energy recovery, that is used to produce a fuel, or that is otherwise contained in a fuel. The prohibition in this subsection (g) does not apply to any dust suppressants applied to a material that is (i) burned for energy recovery, (ii) used to produce a fuel, or (iii) otherwise contained in a fuel. (h) This Section does not apply to waste from the steel and foundry industries that is (i) classified as beneficially usable waste under Board rules and (ii) beneficially used in accordance with Board rules governing the management of beneficially usable waste from the steel and foundry industries. This Section does apply to other beneficial uses of waste from the steel and foundry industries, including, but not limited to, waste that is classified as beneficially usable waste but not used in accordance with the Board's rules governing the management of beneficially usable waste from the steel and foundry industries. No person shall use iron slags, steelmaking slags, or foundry sands for land reclamation purposes unless they have obtained a beneficial use determination for such use under this Section. (i) For purposes of this Section, the term "commercially available material" means virgin material that (i) meets industry standards for a specific use and (ii) is normally sold for such use. For purposes of this Section, the term "commercially available product" means a product made of virgin material that (i) meets industry standards for a specific use and (ii) is normally sold for such use.
(j) Before issuing a beneficial use determination for the beneficial use of asphalt shingles, the Agency shall conduct an evaluation of the applicant's prior experience in asphalt shingle recycling operations. The Agency may deny such a beneficial use determination if the applicant, or any employee or officer of the applicant, has a history of any one or more of the following related to the operation of asphalt shingle recycling operation facilities or sites: (1) repeated violations of federal, State, or local | ||
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(2) conviction in a court of this State or another | ||
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(3) conviction in a federal court of any crime that | ||
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(4) conviction in a court of this State or another | ||
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(5) gross carelessness or incompetence in the | ||
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(Source: P.A. 98-296, eff. 1-1-14; 99-89, eff. 1-1-16 .) |
(415 ILCS 5/22.54a) Sec. 22.54a. (Repealed).
(Source: P.A. 100-266, eff. 8-22-17. Repealed internally, eff. 2-1-23.) |
(415 ILCS 5/22.54b) Sec. 22.54b. Limitation on fees assessed by local government on facilities that have received a beneficial use determination. Except in counties with a population in excess of 1,500,000 residents, a facility that has received a beneficial use determination from the Agency under Section 22.54 of this Act shall not be subject to annual fees assessed by a unit of local government and that are directly related to the facility's recycling activities in excess of $1,500. A home rule unit may not regulate these fees in a manner that is inconsistent with this Section. This Section is a limitation under subsection (i) of Section 6 of Article VII of the Illinois Constitution on the concurrent exercise by home rule units of powers and functions exercised by the State.
(Source: P.A. 99-317, eff. 8-7-15.) |
(415 ILCS 5/22.55) Sec. 22.55. Household waste drop-off points. (a) Findings; purpose and intent. (1) The General Assembly finds that protection of | ||
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(2) The purpose of this Section is to provide, to the | ||
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(b) Definitions. For the purposes of this Section: "Compostable waste" means household waste that is | ||
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"Controlled substance" means a controlled substance | ||
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"Household waste" means waste generated from a single | ||
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"Household waste drop-off point" means the portion of | ||
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"One-day compostable waste collection event" means a | ||
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"One-day household waste collection event" means a | ||
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"Permanent compostable waste collection point" means | ||
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"Personal care product" means an item other than a | ||
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"Pharmaceutical product" means medicine or a product | ||
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"Recycling coordinator" means the person designated | ||
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(c) Except as otherwise provided in Agency rules, the following requirements apply to each household waste drop-off point, other than a one-day household waste collection event, one-day compostable waste collection event, or permanent compostable waste collection point: (1) A household waste drop-off point must not accept | ||
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(2) Except as provided in subdivision (c)(2) of this | ||
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(A) Subdivision (c)(2) of this Section does not | ||
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(B) Household waste drop-off points that accept | ||
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(C) Household waste drop-off points that accept | ||
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(3) The location of acceptance for each type of waste | ||
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(4) Household waste must be accepted only from | ||
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(5) If more than one type of household waste is | ||
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(6) Household waste must not be stored for longer | ||
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(7) Household waste must be managed in a manner that | ||
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(8) Management of the household waste must be limited | ||
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(9) Off-site transfer of the household waste must | ||
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(d) One-day household waste collection events. To further aid in the collection of certain household wastes, the Agency may approve the operation of one-day household waste collection events. The Agency shall not approve a one-day household waste collection event at the same site or facility for more than one day each calendar quarter. Requests for approval must be submitted on forms prescribed by the Agency. The Agency must issue its approval in writing, and it may impose conditions as necessary to protect human health and the environment and to otherwise accomplish the purposes of this Act. One-day household waste collection events must be operated in accordance with the Agency's approval, including all conditions contained in the approval. The following requirements apply to all one-day household waste collection events, in addition to the conditions contained in the Agency's approval: (1) Waste accepted at the event must be limited to | ||
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(2) Household waste must be accepted only from | ||
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(3) Household waste must be managed in a manner that | ||
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(4) Management of the household waste must be limited | ||
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(5) Except as otherwise approved by the Agency, all | ||
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(6) The transfer and ultimate disposition of | ||
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(d-5) One-day compostable waste collection event. To further aid in the collection and composting of compostable waste, as defined in subsection (b), a municipality may approve the operation of one-day compostable waste collection events at any site or facility within its territorial jurisdiction, and a county may approve the operation of one-day compostable waste collection events at any site or facility in any unincorporated area within its territorial jurisdiction. The approval granted under this subsection (d-5) must be in writing; must specify the date, location, and time of the event; and must list the types of compostable waste that will be collected at the event. If the one-day compostable waste collection event is to be operated at a location within a county with a population of more than 400,000 but less than 2,000,000 inhabitants, according to the 2010 decennial census, then the operator of the event shall, at least 30 days before the event, provide a copy of the approval to the recycling coordinator designated by that county. The approval granted under this subsection (d-5) may include conditions imposed by the county or municipality as necessary to protect public health and prevent odors, vectors, and other nuisances. A one-day compostable waste collection event approved under this subsection (d-5) must be operated in accordance with the approval, including all conditions contained in the approval. The following requirements shall apply to the one-day compostable waste collection event, in addition to the conditions contained in the approval: (1) Waste accepted at the event must be limited to | ||
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(2) Information promoting the event and signs at | ||
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(A) examples of compostable waste being | ||
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(B) examples of waste that is not being collected. (3) Compostable waste must be accepted only from | ||
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(4) Compostable waste must be managed in a manner | ||
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(5) Compostable waste must be secured in | ||
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(A) are covered, except when the compostable | ||
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(B) prevent precipitation from draining through | ||
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(C) prevent dispersion of the compostable waste | ||
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(D) contain spills or releases that could create | ||
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(E) limit access to the compostable waste by | ||
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(F) control odors and other nuisances; and (G) provide for storage, removal, and off-site | ||
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(6) No more than a total of 40 cubic yards of | ||
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(7) Management of the compostable waste must be | ||
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(8) All compostable waste received at the event | ||
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(9) If waste other than compostable waste is | ||
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(d-6) Permanent compostable waste collection points. To further aid in the collection and composting of compostable waste, as defined in subsection (b), a municipality may approve the operation of permanent compostable waste collection points at any site or facility within its territorial jurisdiction, and a county may approve the operation of permanent compostable waste collection points at any site or facility in any unincorporated area within its territorial jurisdiction. The approval granted pursuant to this subsection (d-6) must be in writing; must specify the location, operating days, and operating hours of the collection point; must list the types of compostable waste that will be collected at the collection point; and must specify a term of not more than 365 calendar days during which the approval will be effective. In addition, if the permanent compostable waste collection point is to be operated at a location within a county with a population of more than 400,000 but less than 2,000,000 inhabitants, according to the 2010 federal decennial census, then the operator of the collection point shall, at least 30 days before the collection point begins operation, provide a copy of the approval to the recycling coordinator designated by that county. The approval may include conditions imposed by the county or municipality as necessary to protect public health and prevent odors, vectors, and other nuisances. A permanent compostable waste collection point approved pursuant to this subsection (d-6) must be operated in accordance with the approval, including all conditions contained in the approval. The following requirements apply to the permanent compostable waste collection point, in addition to the conditions contained in the approval: (1) Waste accepted at the collection point must be | ||
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(2) Information promoting the collection point and | ||
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(3) Compostable waste must be accepted only from | ||
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(4) Compostable waste must be managed in a manner | ||
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(5) Compostable waste must be secured in | ||
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(A) are no larger than 10 cubic yards in size; (B) are covered, except when the compostable | ||
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(C) prevent precipitation from draining through | ||
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(D) prevent dispersion of the compostable waste | ||
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(E) contain spills or releases that could | ||
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(F) limit access to the compostable waste by | ||
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(G) control odors and other nuisances; and (H) provide for storage, removal, and off-site | ||
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(6) No more than a total of 10 cubic yards of | ||
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(7) Management of the compostable waste must be | ||
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(8) All compostable waste received at the permanent | ||
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(9) If a permanent compostable waste collection | ||
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(e) The Agency may adopt rules governing the operation of household waste drop-off points, other than one-day household waste collection events, one-day compostable waste collection events, and permanent compostable waste collection points. Those rules must be designed to protect against releases of waste to the environment, prevent nuisances, and otherwise protect human health and the environment. As necessary to address different circumstances, the regulations may contain different requirements for different types of household waste and different types of household waste drop-off points, and the regulations may modify the requirements set forth in subsection (c) of this Section. The regulations may include, but are not limited to, the following: (i) identification of additional types of household waste that can be collected at household waste drop-off points, (ii) identification of the different types of household wastes that can be received at different household waste drop-off points, (iii) the maximum amounts of each type of household waste that can be stored at household waste drop-off points at any one time, and (iv) the maximum time periods each type of household waste can be stored at household waste drop-off points. (f) Prohibitions. (1) Except as authorized in a permit issued by the | ||
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(2) No person shall cause or allow the operation of a | ||
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(3) No person shall cause or allow the operation of | ||
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(4) No person shall cause or allow the operation of | ||
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(g) Permit exemptions. (1) No permit is required under subdivision (d)(1) of | ||
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(2) No permit is required under subdivision (d)(1) of | ||
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(3) No permit is required under paragraph (1) of | ||
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(4) No permit is required under paragraph (1) of | ||
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(h) This Section does not apply to the following: (1) Persons accepting household waste that they are | ||
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(2) Sites or facilities operated pursuant to an | ||
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(i) (Blank). (j) (Blank). (k) If an entity chooses to participate as a household waste drop-off point, then it must follow the provisions of this Section and any rules the Agency may adopt governing household waste drop-off points.
(l) (Blank). (Source: P.A. 102-1055, eff. 6-10-22.) |
(415 ILCS 5/22.56) Sec. 22.56. Regulation of farm land sludge application. (a) Any person applying sludge, as defined in Section 3.465 of this Act, to agricultural farm land in this State must: (1) provide, no sooner than 90 days and no later than | ||
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(2) not stockpile sludge, except for lime sludge, | ||
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(3) not apply the sludge in trenches that are deeper | ||
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(4) not apply sludge closer than 100 feet to an | ||
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(5) make available to any requesting party, for up to | ||
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(b) The requirements contained in this Section shall be in addition to any permit requirements otherwise imposed by the Agency. Nothing in this Section shall be interpreted to restrict, or in any way limit, the application of sludge on land (i) owned by a unit of local government or (ii) used for recreational purposes.
(Source: P.A. 97-551, eff. 8-25-11.) |
(415 ILCS 5/22.56a) Sec. 22.56a. Land application of Exceptional Quality biosolids. (a) The General Assembly finds that: (1) technological advances in wastewater | ||
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(2) Exceptional Quality biosolids are a resource | ||
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(3) the beneficial use of Exceptional Quality | ||
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(b) To encourage and promote the use of Exceptional Quality biosolids in productive and beneficial applications, to the extent allowed by federal law, Exceptional Quality biosolids shall not be subject to regulation as a sludge or other waste if all of the following requirements are met: (1) The sewage treatment plant generating the | ||
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(A) documentation demonstrating that the | ||
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(B) documentation demonstrating that the Class | ||
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(C) documentation demonstrating that the | ||
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(D) a certification statement regarding the | ||
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(E) the quantity of Exceptional Quality | ||
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(2) For Exceptional Quality biosolids that have | ||
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(A) they are not applied to snow-covered or | ||
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(B) they are used on agricultural land in a | ||
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(3) If Exceptional Quality biosolids that have | ||
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(c) For purposes of this Section, Exceptional Quality biosolids are considered "bagged" if they are in a bag or in an open or closed receptacle that has a capacity of one metric ton or less, including, but not limited to, a bucket, box, carton, vehicle, or trailer.
(d) Nothing in this Act shall limit or supersede the authority of the Illinois Emergency Management Agency to regulate exceptional quality biosolids under the Nuclear Safety Law of 2004. (Source: P.A. 99-67, eff. 7-20-15; 100-128, eff. 8-18-17.) |
(415 ILCS 5/22.57) Sec. 22.57. Perchloroethylene in drycleaning. (a) For the purposes of this Section: "Drycleaning" means the process of cleaning clothing, garments, textiles, fabrics, leather goods, or other like articles using a nonaqueous solvent. "Drycleaning machine" means any machine, device, or other equipment used in drycleaning. "Drycleaning solvents" means solvents used in drycleaning. "Perchloroethylene drycleaning machine" means a drycleaning machine that uses perchloroethylene. "Primary control system" means a refrigerated condenser or an equivalent closed-loop vapor recovery system that reduces the concentration of perchloroethylene in the recirculating air of a perchloroethylene drycleaning machine. "Refrigerated condenser" means a closed-loop vapor recovery system into which perchloroethylene vapors are introduced and trapped by cooling below the dew point of the perchloroethylene. "Secondary control system" means a device or apparatus that reduces the concentration of perchloroethylene in the recirculating air of a perchloroethylene drycleaning machine at the end of the drying cycle beyond the level achievable with a refrigerated condenser alone. (b) Beginning January 1, 2013: (1) Perchloroethylene drycleaning machines in | ||
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(2) Except as allowed under paragraph (1) of | ||
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(c) No person shall operate a drycleaning machine unless all of the following are met: (1) During the operation of any perchloroethylene | ||
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(2) For drycleaning facilities where one or more | ||
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(3) All of the following secondary containment | ||
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(A) There is a containment dike or other | ||
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(B) Those portions of diked floor surfaces on | ||
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(C) All chlorine-based drycleaning solvent is | ||
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(d) (Blank). (e) (Blank).
(Source: P.A. 101-400, eff. 7-1-20 .) |
(415 ILCS 5/22.58) Sec. 22.58. Drug destruction by law enforcement agency. (a) For purposes of this Section: "Drug destruction device" means a device that is (i) designed by its manufacturer to destroy drug evidence and render it non-retrievable and (ii) used exclusively for that purpose or, to the extent allowed under federal law, to destroy pharmaceuticals collected under Section 17 of the Safe Pharmaceutical Disposal Act. "Drug evidence" means any illegal drug collected as evidence by a law enforcement agency. "Drug evidence" does not include hazardous waste. "Illegal drug" means any one or more of the following when obtained without a prescription or otherwise in violation of the law: (1) any substance as defined and included in the | ||
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(2) any cannabis as defined in Section 3 of the | ||
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(3) any drug as defined in paragraph (b) of Section 3 | ||
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"Law enforcement agency" means an agency of this State or unit of local government that is vested by law or ordinance with the duty to maintain public order and to enforce criminal laws or ordinances. "Non-retrievable" means the condition or state following a process that permanently alters the illegal drug's physical or chemical condition or state through irreversible means and thereby renders the illegal drug unavailable and unusable for all practical purposes. (b) To the extent allowed under federal law, drug evidence that is placed into a drug destruction device by a law enforcement agency at the location where the evidence is stored by the agency and that is destroyed under the supervision of the agency in accordance with the specifications of the device manufacturer shall not be considered discarded or a waste under this Act until it is rendered non-retrievable.
(Source: P.A. 99-60, eff. 7-16-15; 100-250, eff. 8-22-17.) |
(415 ILCS 5/22.59) Sec. 22.59. CCR surface impoundments. (a) The General Assembly finds that: (1) the State of Illinois has a long-standing policy | ||
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(2) a clean environment is essential to the growth | ||
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(3) CCR generated by the electric generating industry | ||
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(4) environmental laws should be supplemented to | ||
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(5) meaningful participation of State residents, | ||
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Therefore, the purpose of this Section is to promote a healthful environment, including clean water, air, and land, meaningful public involvement, and the responsible disposal and storage of coal combustion residuals, so as to protect public health and to prevent pollution of the environment of this State. The provisions of this Section shall be liberally construed to carry out the purposes of this Section. (b) No person shall: (1) cause or allow the discharge of any contaminants | ||
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(2) construct, install, modify, operate, or close any | ||
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(3) cause or allow, directly or indirectly, the | ||
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(4) construct, install, modify, or close a CCR | ||
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(A) a training program that is approved by and | ||
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(B) a training program that is approved by and | ||
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Nothing in this paragraph (4) shall be construed to | ||
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In this paragraph (4), "construction-related | ||
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(c) (Blank). (d) Before commencing closure of a CCR surface impoundment, in accordance with Board rules, the owner of a CCR surface impoundment must submit to the Agency for approval a closure alternatives analysis that analyzes all closure methods being considered and that otherwise satisfies all closure requirements adopted by the Board under this Act. Complete removal of CCR, as specified by the Board's rules, from the CCR surface impoundment must be considered and analyzed. Section 3.405 does not apply to the Board's rules specifying complete removal of CCR. The selected closure method must ensure compliance with regulations adopted by the Board pursuant to this Section. (e) Owners or operators of CCR surface impoundments who have submitted a closure plan to the Agency before May 1, 2019, and who have completed closure prior to 24 months after July 30, 2019 (the effective date of Public Act 101-171) shall not be required to obtain a construction permit for the surface impoundment closure under this Section. (f) Except for the State, its agencies and institutions, a unit of local government, or a not-for-profit electric cooperative as defined in Section 3.4 of the Electric Supplier Act, any person who owns or operates a CCR surface impoundment in this State shall post with the Agency a performance bond or other security for the purpose of: (i) ensuring closure of the CCR surface impoundment and post-closure care in accordance with this Act and its rules; and (ii) ensuring remediation of releases from the CCR surface impoundment. The only acceptable forms of financial assurance are: a trust fund, a surety bond guaranteeing payment, a surety bond guaranteeing performance, or an irrevocable letter of credit. (1) The cost estimate for the post-closure care of a | ||
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(2) The Agency is authorized to enter into such | ||
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(3) The Agency shall have the authority to approve or | ||
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(g) The Board shall adopt rules establishing construction permit requirements, operating permit requirements, design standards, reporting, financial assurance, and closure and post-closure care requirements for CCR surface impoundments. Not later than 8 months after July 30, 2019 (the effective date of Public Act 101-171) the Agency shall propose, and not later than one year after receipt of the Agency's proposal the Board shall adopt, rules under this Section. The Board shall not be deemed in noncompliance with the rulemaking deadline due to delays in adopting rules as a result of the Joint Committee on Administrative Rules oversight process. The rules must, at a minimum: (1) be at least as protective and comprehensive as | ||
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(2) specify the minimum contents of CCR surface | ||
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(3) specify which types of permits include | ||
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(4) specify when permit applications for existing CCR | ||
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(5) specify standards for review and approval by the | ||
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(6) specify meaningful public participation | ||
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(7) prescribe the type and amount of the performance | ||
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(8) specify a procedure to identify areas of | ||
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(9) specify a method to prioritize CCR surface | ||
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(10) define when complete removal of CCR is achieved | ||
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(11) describe the process and standards for | ||
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(h) Any owner of a CCR surface impoundment that generates CCR and sells or otherwise provides coal combustion byproducts pursuant to Section 3.135 shall, every 12 months, post on its publicly available website a report specifying the volume or weight of CCR, in cubic yards or tons, that it sold or provided during the past 12 months. (i) The owner of a CCR surface impoundment shall post all closure plans, permit applications, and supporting documentation, as well as any Agency approval of the plans or applications, on its publicly available website. (j) The owner or operator of a CCR surface impoundment shall pay the following fees: (1) An initial fee to the Agency within 6 months | ||
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$50,000 for each closed CCR surface impoundment; | ||
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$75,000 for each CCR surface impoundment that | ||
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(2) Annual fees to the Agency, beginning on July 1, | ||
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$25,000 for each CCR surface impoundment that has | ||
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$15,000 for each CCR surface impoundment that has | ||
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(k) All fees collected by the Agency under subsection (j) shall be deposited into the Environmental Protection Permit and Inspection Fund. (l) The Coal Combustion Residual Surface Impoundment Financial Assurance Fund is created as a special fund in the State treasury. Any moneys forfeited to the State of Illinois from any performance bond or other security required under this Section shall be placed in the Coal Combustion Residual Surface Impoundment Financial Assurance Fund and shall, upon approval by the Governor and the Director, be used by the Agency for the purposes for which such performance bond or other security was issued. The Coal Combustion Residual Surface Impoundment Financial Assurance Fund is not subject to the provisions of subsection (c) of Section 5 of the State Finance Act. (m) The provisions of this Section shall apply, without limitation, to all existing CCR surface impoundments and any CCR surface impoundments constructed after July 30, 2019 (the effective date of Public Act 101-171), except to the extent prohibited by the Illinois or United States Constitutions.
(Source: P.A. 102-16, eff. 6-17-21; 102-137, eff. 7-23-21; 102-309, eff. 8-6-21; 102-558, eff. 8-20-21; 102-662, eff. 9-15-21; 102-813, eff. 5-13-22; 103-154, eff. 6-30-23.) |
(415 ILCS 5/22.60)
(For Section repeal see subsection (e)) Sec. 22.60. Pilot project for Will County and Grundy County pyrolysis or gasification facility. (a) As used in this Section: "Plastics" means polystyrene or any other synthetic organic polymer that can be molded into shape under heat and pressure and then set into a rigid or slightly elastic form. "Plastics gasification facility" means a manufacturing facility that: (1) receives only uncontaminated plastics that have | ||
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(2) uses heat in an oxygen-deficient atmosphere to | ||
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"Plastics pyrolysis facility" means a manufacturing facility that: (1) receives only uncontaminated plastics that have | ||
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(2) uses heat in the absence of oxygen to process the | ||
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(b) Provided that permitting and construction has commenced prior to July 1, 2025, a pilot project allowing for a pyrolysis or gasification facility in accordance with this Section is permitted for a locally zoned and approved site in either Will County or Grundy County. (c) To the extent allowed by federal law, uncontaminated plastics that have been processed into a feedstock meeting feedstock specifications for a plastics gasification facility or plastics pyrolysis facility, and that are further processed by such a facility and returned to the economic mainstream in the form of raw materials or products, are considered recycled and are not subject to regulation as waste. (d) The Agency may propose to the Board for adoption, and the Board may adopt, rules establishing standards for materials accepted as feedstocks by plastics gasification facilities and plastics pyrolysis facilities, rules establishing standards for the management of feedstocks at plastics gasification facilities and plastics pyrolysis facilities, and any other rules, as may be necessary to implement and administer this Section. (e) If permitting and construction for the pilot project under subsection (b) has not commenced by July 1, 2025, this Section is repealed.
(Source: P.A. 101-141, eff. 7-1-20; 102-558, eff. 8-20-21.)
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(415 ILCS 5/22.61)
Sec. 22.61. Regulation of bisphenol A in business transaction paper. (a) For purposes of this Section, "thermal paper" means paper with bisphenol A added to the coating. (b) Beginning January 1, 2020, no person shall manufacture, for sale in this State, thermal paper. (c) No person shall distribute or use any thermal paper for the making of business or banking records, including, but not limited to, records of receipts, credits, withdrawals, deposits, or credit or debit card transactions. This subsection shall not apply to thermal paper that was manufactured prior to January 1, 2020. (d) The prohibition in subsections (a) and (b) shall not apply to paper containing recycled material.
(Source: P.A. 101-457, eff. 8-23-19; 102-558, eff. 8-20-21.)
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(415 ILCS 5/22.62) Sec. 22.62. TRI-PFAS; incineration. (a) As used in this Section: "Incineration" includes, but is not limited to, | ||
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"Toxic Release Inventory Perfluoroalkyl and | ||
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(b) No person shall dispose of any TRI-PFAS by incineration, including, but not limited to, aqueous film-forming foam that contains TRI-PFAS. The Agency may propose, and the Board may adopt, any rules it deems necessary to carry out the provisions of this Section. (c) Nothing in this Section applies to the incineration of (i) landfill gas from the decomposition of waste that may contain any perfluoroalkyl or polyfluoroalkyl substances at a permitted sanitary landfill, (ii) landfill gas in a landfill gas recovery facility that is located at a sanitary landfill, (iii) waste at a permitted hospital, medical, and infectious waste incinerator that meets the requirements of Subpart HHH of 40 CFR Part 62, Subpart Ec of 40 CFR Part 60, or the Board-adopted State Plan requirements for hospital, medical, and infectious waste incinerators, as applicable, or (iv) sludges, biosolids, or other solids or by-products generated at or by a municipal wastewater treatment plant or facility.
(Source: P.A. 102-1048, eff. 6-8-22.) |
(415 ILCS 5/22.63) Sec. 22.63. Rules for placement of limestone residual materials. The Board shall adopt rules for the placement of limestone residual materials generated from the treatment of drinking water by a municipal utility in an underground limestone mine located in whole or in part within the municipality that operates the municipal utility. The rules shall be consistent with the Board's Underground Injection Control regulations for Class V wells, provided that the rules shall allow for the limestone residual materials to be delivered to and placed in the mine by means other than an injection well. Rules adopted pursuant to this Section shall be adopted in accordance with the provisions and requirements of Title VII of this Act and the procedures for rulemaking in Section 5-35 of the Illinois Administrative Procedure Act, provided that a municipality proposing rules pursuant to this Section is not required to include in its proposal a petition signed by at least 200 persons as required under subsection (a) of Section 28. Rules adopted pursuant to this Section shall not be considered a part of the State Underground Injection Control program established under this Act. As used in this Section, "limestone residual material" means limestone residual generated from the treatment of drinking water at a publicly-owned drinking water treatment plant. (Source: P.A. 103-333, eff. 1-1-24 .) |
(415 ILCS 5/Tit. VI heading) TITLE VI:
NOISE
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(415 ILCS 5/23) (from Ch. 111 1/2, par. 1023)
Sec. 23.
The General Assembly finds that excessive noise endangers
physical and emotional health and well-being, interferes with legitimate
business and recreational activities, increases construction costs,
depresses property values, offends the senses, creates public nuisances,
and in other respects reduces the quality of our environment.
It is the purpose of this Title to prevent noise which creates a public
nuisance.
(Source: P.A. 76-2429.)
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(415 ILCS 5/24) (from Ch. 111 1/2, par. 1024)
Sec. 24.
No person shall emit beyond the boundaries of his property any noise
that unreasonably interferes with the enjoyment of life or with any lawful
business or activity, so as to violate any regulation or standard adopted
by the Board under this Act.
(Source: P.A. 76-2429.)
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(415 ILCS 5/25) (from Ch. 111 1/2, par. 1025)
Sec. 25.
The Board, pursuant to the procedures prescribed in Title VII of
this Act, may adopt regulations prescribing limitations on noise emissions
beyond the boundaries of the property of any person and prescribing
requirements and standards for equipment and procedures for monitoring
noise and the collection, reporting and retention of data resulting from
such monitoring.
The Board shall, by regulations under this Section, categorize the
types and sources of noise emissions that unreasonably interfere with
the enjoyment of life, or with any lawful business, or activity, and
shall prescribe for each such category the maximum permissible limits on
such noise emissions. The Board shall secure the co-operation of the
Department in determining the
categories of noise emission and the technological and economic
feasibility of such noise level limits.
In establishing such limits, the Board, in addition to considering
those factors set forth in Section 27 of this Act, shall consider the
adverse ecological effects on and interference with the enjoyment of
natural, scenic, wilderness or other outdoor recreational areas, parks,
and forests occasioned by noise emissions from automotive, mechanical,
and other sources and may establish lower permissible noise levels
applicable to sources in such outdoor recreational uses.
No Board standards for monitoring noise or regulations prescribing
limitations on noise emissions shall apply to any organized amateur or
professional sporting activity except as otherwise provided in this
Section. Baseball, football or soccer sporting events
played during
nighttime hours, by professional athletes, in a city with more than
1,000,000 inhabitants, in a stadium at which such nighttime events were not
played prior to July 1, 1982, shall be subject to nighttime noise emission
regulations promulgated by the Illinois Pollution Control Board; however,
the following events shall not be subject to such regulations:
(1) baseball World Series games, league championship series games and
other playoff games played after the conclusion of the regular season, and
baseball All Star games; and
(2) sporting events or other events held in a stadium which replaces a
stadium not subject to such regulations and constructed within 1500 yards
of the original stadium by the Illinois Sports Facilities Authority.
For purposes of this Section and Section 24, "beyond the boundaries
of his property" or "beyond the boundaries of the property of any
person" includes personal property as well as real property.
(Source: P.A. 89-445, eff. 2-7-96.)
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(415 ILCS 5/Tit. VI-A heading) TITLE VI-A:
ATOMIC RADIATION
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(415 ILCS 5/25a-1) (from Ch. 111 1/2, par. 1025a-1)
Sec. 25a-1. At least 60 days before beginning the decommissioning of any nuclear power plant located in this State, the owner or operator of the plant shall file, for information purposes only, a copy of the decommissioning plan for the plant with the Agency and a copy with the Illinois Emergency Management Agency and Office of Homeland Security, or its successor agency. (Source: P.A. 103-569, eff. 6-1-24 .) |
(415 ILCS 5/25b) (from Ch. 111 1/2, par. 1025b)
Sec. 25b. Any person, corporation or public authority intending to construct a nuclear steam-generating facility or a nuclear fuel reprocessing plant shall file with the Illinois Emergency Management Agency and Office of Homeland Security, or its successor agency, an environmental feasibility report which incorporates the data provided in the preliminary safety analysis required to be filed with the United States Nuclear Regulatory Commission. The Board may by rule prescribe the form of such report. In consultation with the Illinois Emergency Management Agency and Office of Homeland Security and the Illinois Environmental Protection Agency, the Board shall have the power to adopt standards to protect the health, safety and welfare of the citizens of Illinois from the hazards of radiation to the extent that such powers are not preempted under the federal constitution. (Source: P.A. 103-569, eff. 6-1-24 .) |
(415 ILCS 5/Tit. VI-B heading) TITLE VI-B:
TOXIC CHEMICAL REPORTING
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(415 ILCS 5/25b-1) (from Ch. 111 1/2, par. 1025b-1)
Sec. 25b-1.
(a) The General Assembly finds:
(1) That many industrial facilities in the State may | ||
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(2) That members of the general public have a right | ||
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(3) That the federal Emergency Planning and Community | ||
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(4) That the federal Pollution Prevention Act of 1990 | ||
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(b) It is the purpose of this Title to provide for the coordinated State
implementation of the federal programs that require the disclosure of
information about routine releases, source reduction, and recycling of
toxic chemicals,
and to provide an orderly procedure whereby the public may gain access to
this information.
(Source: P.A. 87-1213.)
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(415 ILCS 5/25b-2) (from Ch. 111 1/2, par. 1025b-2)
Sec. 25b-2.
(a) Facilities which are required to file toxic chemical
release forms with the State pursuant to Section 313 of the federal
Emergency Planning and Community Right-to-Know Act of 1986 shall file such
forms with the Illinois Environmental Protection Agency.
(b) The Agency shall make toxic chemical release forms available to
the public for inspection and copying during regular business hours and,
upon written request, shall send copies of such forms by mail to any
resident of the State.
(Source: P.A. 85-927.)
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(415 ILCS 5/25b-3) (from Ch. 111 1/2, par. 1025b-3)
Sec. 25b-3. In cooperation with the United States Environmental Protection Agency, the Agency shall provide in a
computer data base an Illinois Toxic Chemical Inventory. The
Inventory shall be based on the toxic chemical release forms filed pursuant to
Section 313 of the federal Emergency Planning and Community Right-to-know Act of 1986 and may include, to the extent practicable, any other
information on emissions, discharges, source reduction
activities, and recycling of toxic contaminants
submitted to the Agency pursuant to this Act. The Agency shall
maintain the data in the Inventory by individual facility and
company name, standard industrial classification, type of chemical,
and geographic location.
(Source: P.A. 94-580, eff. 8-12-05.)
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(415 ILCS 5/25b-4)
Sec. 25b-4. (Repealed).
(Source: P.A. 94-580, eff. 8-12-05. Repealed by P.A. 97-220, eff. 7-28-11.)
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(415 ILCS 5/25b-5) (from Ch. 111 1/2, par. 1025b-5)
Sec. 25b-5.
Review of toxic chemical status.
The Agency shall periodically review the status of toxic
chemicals and types of facilities covered under the reporting requirements
of Section 313 of the federal Emergency Planning and Community
Right-to-Know Act of 1986.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/25b-6)
Sec. 25b-6.
Failure to receive toxic chemical release form; notice.
Prior
to
taking action pursuant to Title VIII for a violation of Section 25b-2 of this
Act, the Agency shall issue, no earlier than August 1 of each year, by
certified
mail or personal service upon the person complained against, a notice that the
Agency has failed to receive from that person all required toxic chemical
release forms
and provide a period of 30 days to submit the forms to the Agency. In the
event that person fails to file the forms with the Agency within the 30 day
period, the Agency may proceed with enforcement pursuant to Title VIII of this
Act.
(Source: P.A. 88-106.)
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TITLE VI-C:
OIL SPILL RESPONSE
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(415 ILCS 5/25c-1)
Sec. 25c-1.
Oil Spill Response Fund.
(a) There is hereby created within the State treasury an interest-bearing
special fund to be known as the Oil Spill Response Fund. There shall be
deposited into the Fund all monies recovered as reimbursement for response
costs incurred by the Agency from parties responsible for releases or threats
of release of petroleum, monies provided to the State from the federal Oil
Spill
Liability Trust Fund, and such other monies as may be received for this purpose
through contributions, gifts, or supplemental environmental projects, pursuant
to court orders or decrees, or from any other source.
(b) Pursuant to appropriation, all monies in the Oil Spill Response Fund may
be used by the Agency for all of the following purposes:
(1) Responding to releases or threats of release of | ||
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(2) Contractual expenses and purchases of equipment | ||
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(3) Costs of investigation and assessment of the | ||
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(4) Costs associated with planning and training for | ||
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(5) Costs associated with preparing and submitting | ||
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(c) For the purposes of implementing this Section, "petroleum" means crude
oil, refined petroleum, intermediates, fractions or constituents of petroleum,
brine or salt water from oil production, oil sheens, hydrocarbon vapors, and
any other form of oil or petroleum.
(d) In addition to any other authority provided by State or federal law, the
Agency shall be entitled to recovery of costs incurred by it in response to
releases and threats of release of petroleum from any persons who are
responsible for causing, allowing, or threatening such releases.
(Source: P.A. 93-152, eff. 7-10-03.)
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(415 ILCS 5/Tit. VI-D heading)
TITLE VI-D.
RIGHT-TO-KNOW
(Source: P.A. 94-314, eff. 7-25-05.)
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(415 ILCS 5/25d-1) Sec. 25d-1. Definitions. For the purposes of this Title, the terms "community water system", "non-community water system", "potable", "private water system", and "semi-private water system" have the meanings ascribed to them in the Illinois Groundwater Protection Act. For the purposes of this Title, the term "soil gas" means the air existing in void spaces in the soil between the groundwater table and the ground surface.
(Source: P.A. 96-603, eff. 8-24-09.) |
(415 ILCS 5/25d-2) Sec. 25d-2. Contaminant evaluation. The Agency shall evaluate releases of contaminants whenever it determines that the extent of soil, soil gas, or groundwater contamination may extend beyond the boundary of the site where the release occurred. The Agency shall take appropriate actions in response to the release, which may include, but shall not be limited to, public notices, investigations, administrative orders under Sections 22.2d or 57.12(d) of this Act, and enforcement referrals. Except as provided in Section 25d-3 of this Act, for releases undergoing investigation or remediation under Agency oversight the Agency may determine that no further action is necessary to comply with this Section.
(Source: P.A. 96-603, eff. 8-24-09.) |
(415 ILCS 5/25d-3) Sec. 25d-3. Notices.
(a) Beginning January 1, 2006, if the Agency determines that: (1) Soil contamination beyond the boundary of the | ||
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(2) Groundwater contamination poses a threat of | ||
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(A) for any private, semi-private, or | ||
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(B) for any community water system, (i) the owners and operators of the system; | ||
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(ii) the residents and owners of premises | ||
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(iii) the residents and owners of premises | ||
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The Agency's determination must be based on the credible, scientific information available to it, and the Agency is not required to perform additional investigations or studies beyond those required by applicable federal or State laws. For notices required under subparagraph (B) of paragraph (2) of subsection (a), the Agency shall (i) within 2 days after determining that groundwater contamination poses a threat of exposure to the public above the Class I groundwater quality standards, provide notice of the determination by issuing a press release and posting the press release on the Agency's website and (ii) within 5 days after the determination, provide the owner and operator of the community water system and the owners and operators of all connected community water systems with a notice printed on Agency letterhead that identifies the contaminant posing the threat, the level of contamination found, and possible human health effects associated with exposure to the contaminant. Within 5 business days after receiving a notice from the Agency under this paragraph, the owner or operator of the community water system must send, to all residents and owners of premises connected to the affected community water system: (i) a copy of the notice by first-class mail or by e-mail; or (ii) notification, in a form approved by the Agency, via first-class postcard, text message, or telephone; except that notices to institutional residents, including, but not limited to, residents of school dormitories, nursing homes, and assisted care facilities, may be made to the owners and operators of those institutions, and the owner or operator of those institutions shall notify their residents in the same manner as prescribed in this subsection for owners and operators of community water systems. If the manner for notice selected by the owner or operator of the community water system does not include a written copy of the notice provided by the Agency, the owner or operator shall include a written copy of the notice provided by the Agency in the next water bill sent to the residents and owners of the premises; provided, however, if the water bill is sent on a postcard, no written copy of the notice provided by the Agency is required if the postcard includes the Internet address for the notice posted on the Agency's website. The front of the envelope or postcard in which any such notice is sent to residents and owners of premises connected to the affected community water system shall carry the following text in at least 18 point font: PUBLIC HEALTH NOTICE - READ IMMEDIATELY. For a postcard, text message, or telephonic communication, the Agency shall specify the minimum information that the owner or operator must include in such methods of notice. Within 7 days after the owner or operator of the community water system sends the notices to residents and owners of premises connected to the community water system, the owner or operator shall provide the Agency with proof that the notices have been sent. The notices required under subparagraph (B) of paragraph (2) of subsection (a) shall be provided whether or not the threat of exposure has been eliminated. (b) Beginning January 1, 2006, if any of the following actions occur: (i) the Agency refers a matter for enforcement under Section 43(a) of this Act; (ii) the Agency issues a seal order under Section 34 of this Act; or (iii) the Agency, the United States Environmental Protection Agency (USEPA), or a third party under Agency or USEPA oversight performs an immediate removal under the federal Comprehensive Environmental Response, Compensation, and Liability Act, as amended, then, within 60 days after the action, the Agency must give notice of the action to the owners of all property within 2,500 feet of the subject contamination or any closer or farther distance that the Agency deems appropriate under the circumstances. Within 30 days after a request by the Agency, the appropriate officials of the county in which the property is located must provide to the Agency the names and addresses of all property owners to whom the Agency is required to give notice under this subsection (b), these owners being the persons or entities that appear from the authentic tax records of the county.
(c) In addition to the notice requirements of subsection (a) of this Section, the methods by which the Agency gives the notices required under this Section shall be determined in consultation with members of the public and appropriate members of the regulated community and may include, but shall not be limited to, personal notification, public meetings, signs, electronic notification, and print media. For sites at which a responsible party has implemented a community relations plan, the Agency may allow the responsible party to provide Agency-approved notices in lieu of the notices required to be given by the Agency. Notices issued under this Section may contain the following information: (1) the name and address of the site or facility | ||
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(2) the identification of the contaminant released or | ||
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(3) information as to whether the contaminant was | ||
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(4) a brief description of the potential adverse | ||
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(5) a recommendation that water systems with wells | ||
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(6) the name, business address, and phone number of | ||
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(d) Any person who is a responsible party with respect to the release or substantial threat of release for which notice is given under this Section is liable for all reasonable costs incurred by the State in giving the notice. All moneys received by the State under this subsection (d) for costs related to releases and substantial threats of releases of hazardous substances, pesticides, and petroleum other than releases and substantial threats of releases of petroleum from underground storage tanks subject to Title XVI of this Act must be deposited in and used for purposes consistent with the Hazardous Waste Fund. All moneys received by the State under this subsection (d) for costs related to releases and substantial threats of releases of petroleum from underground storage tanks subject to Title XVI of this Act must be deposited in and used for purposes consistent with the Underground Storage Tank Fund.
(Source: P.A. 95-454, eff. 8-27-07; 96-603, eff. 8-24-09.) |
(415 ILCS 5/25d-4) Sec. 25d-4. Agency authority. Whenever the Agency determines that a public notice should be issued under this Title, the Agency has the authority to issue an information demand letter to the owner or operator of the site or facility where the release occurred or is suspected to have occurred that requires the owner or operator to provide the Agency with the information necessary, to the extent practicable, to give the notices required under Section 25d-3 of this Title. In the case of a release or suspected release from an underground storage tank subject to Title XVI of this Act, the Agency has the authority to issue such a letter to the owner or operator of the underground storage tank. Within 30 days after the issuance of a letter under this Section, or within a greater period specified by the Agency, the person who receives the letter shall provide the Agency with the required information. Any person who, without sufficient cause, willfully violates, or fails or refuses to comply with, any letter issued under this Section is in violation of this Act.
(Source: P.A. 94-314, eff. 7-25-05.) |
(415 ILCS 5/25d-5) Sec. 25d-5. Contamination information. Beginning July 1, 2006, the Agency shall make all of the following information available on the Internet: (i) Copies of all notifications given under Section | ||
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(ii) Appropriate Agency databases containing | ||
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(iii) Links to appropriate USEPA databases containing | ||
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(Source: P.A. 94-314, eff. 7-25-05.) |
(415 ILCS 5/25d-6) Sec. 25d-6. Agency coordination. Beginning January 1, 2006, the Agency shall coordinate with the Department of Public Health to provide training to regional and local health department staff on the use of the information posted on the Internet under Section 25d-5 of this Title. Also beginning January 1, 2006, the Agency shall coordinate with the Department of Public Health to provide training to licensed water well drillers on the use of the information posted on the Internet under Section 25d-5 of this Title in relation to the location and installation of new wells serving private, semi-private, and non-community water systems.
(Source: P.A. 94-314, eff. 7-25-05.) |
(415 ILCS 5/25d-7) Sec. 25d-7. Rulemaking. (a) Within 180 days after the effective date of this amendatory Act of the 94th General Assembly, the Agency shall evaluate the Board's rules and propose amendments to the rules as necessary to require potable water supply well surveys and community relations activities where such surveys and activities are appropriate in response to releases of contaminants that have impacted or that may impact offsite potable water supply wells. Within 240 days after receiving the Agency's proposal, the Board shall amend its rules as necessary to require potable water supply well surveys and community relations activities where such surveys and activities are appropriate in response to releases of contaminants that have impacted or that may impact offsite potable water supply wells. Community relations activities required by the Board shall include, but shall not be limited to, submitting a community relations plan for Agency approval, maintaining a public information repository that contains timely information about the actions being taken in response to a release, and maintaining dialogue with the community through means such as public meetings, fact sheets, and community advisory groups. (b) The Agency shall adopt rules setting forth costs for which persons may be liable to the State under Section 25d-3(d) of this Act. In addition, the Agency shall have the authority to adopt other rules as necessary for the administration of this Title.
(Source: P.A. 94-314, eff. 7-25-05.) |
(415 ILCS 5/25d-8) Sec. 25d-8. Liability. Except for willful and wanton misconduct, neither the State, the Director, nor any State employee shall be liable for any damages or injuries arising out of or resulting from any act or omission occurring under this amendatory Act of the 94th General Assembly.
(Source: P.A. 94-314, eff. 7-25-05.) |
(415 ILCS 5/25d-9) Sec. 25d-9. Admissibility. The Agency's giving of notice or failure to give notice under Section 25d-3 of this Title shall not be admissible for any purpose in any administrative or judicial proceeding.
(Source: P.A. 94-314, eff. 7-25-05.) |
(415 ILCS 5/25d-10)
Sec. 25d-10. Avoiding duplication. The Agency shall take whatever steps it deems necessary to eliminate the potential for duplicative notices required by this Title and Section 9.1 of the Illinois Groundwater Protection Act.
(Source: P.A. 94-314, eff. 7-25-05.) |
(415 ILCS 5/Tit. VII heading) TITLE VII:
REGULATIONS
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(415 ILCS 5/26) (from Ch. 111 1/2, par. 1026)
Sec. 26.
The Board may adopt such procedural rules as may be necessary to
accomplish the purposes of this Act. In adopting such rules the Board
shall follow the rulemaking procedures of the Illinois Administrative Procedure Act.
Without limiting the generality of this grant of authority, and
notwithstanding any requirement that hearings be held in actions brought
pursuant to Titles VIII and X of the Act, the Board may adopt procedural
rules for resolution of such actions by summary judgment prior to hearing
upon motion by either party except as otherwise required by federal law, as
well as procedural rules requiring the parties to perfect their pleadings
to conform to the evidence as presented to the Board.
(Source: P.A. 85-1048.)
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(415 ILCS 5/27) (from Ch. 111 1/2, par. 1027)
Sec. 27. Rulemaking.
(a) The Board may adopt substantive regulations as
described
in this Act. Any such regulations may make different provisions as required by
circumstances for different contaminant sources and for different geographical
areas; may apply to sources outside this State causing, contributing to, or
threatening environmental damage in Illinois; may make special provision for
alert and abatement standards and procedures respecting occurrences or
emergencies of pollution or on other short-term conditions constituting an
acute danger to health or to the environment; and may include regulations
specific to individual persons or sites. In promulgating regulations under
this Act, the Board shall take into account the existing physical conditions,
the character of the area involved, including the character of surrounding land
uses, zoning classifications, the nature of the existing air quality, or
receiving body of water, as the case may be, and the technical feasibility and
economic reasonableness of measuring or reducing the particular type of
pollution. The generality of this grant of authority shall only be limited by
the specifications of particular classes of regulations elsewhere in this Act.
No charge shall be established or assessed by the Board or Agency
against any person for emission of air contaminants from any source, for
discharge of water contaminants from any source, or for the sale, offer or
use of any article.
Any person filing with the Board a written proposal for the adoption,
amendment, or repeal of regulations shall provide information supporting
the requested change and shall at the same time file a copy of such
proposal with the Agency and the Department of Natural Resources. To aid
the Board and to assist the public in determining which facilities will be
affected, the person filing a proposal shall describe, to the extent reasonably
practicable, the universe of affected sources and facilities and the economic
impact of the proposed rule.
(b) Except as provided below and in Section 28.2, before the adoption of any
proposed rules not relating to administrative procedures within the Agency or
the Board, or amendment to existing rules not
relating to administrative procedures within the Agency or the Board, the Board shall:
(1) request that the Department of Commerce and | ||
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(2) conduct at least one public hearing on the | ||
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In adopting any such new rule, the Board shall, in its
written opinion,
make a determination, based upon the evidence in the public hearing record,
including but not limited to the economic impact study, as
to whether the proposed rule has any adverse economic
impact on the
people of the State of Illinois.
(c) On proclamation by the Governor, pursuant to Section 8 of the Illinois
Emergency Services and Disaster Act of 1975, that a disaster
emergency exists, or when the Board finds that a severe public health
emergency exists, the Board may, in relation to any proposed regulation,
order that such regulation shall take effect without delay and the Board
shall proceed with the hearings and studies required by this Section
while the regulation continues in effect.
When the Board finds that a situation exists which reasonably constitutes
a threat to the public interest, safety or welfare, the Board may adopt
regulations pursuant to and in accordance with Section 5-45 of the
Illinois Administrative Procedure Act.
(d) To the extent consistent with any deadline for adoption of any
regulations mandated by State or federal law, prior to initiating any
hearing on a regulatory proposal, the Board may assign a qualified hearing
officer who may schedule a prehearing conference between the proponents
and any or all of the potentially affected persons. The notice
requirements of Section 28 shall not apply to such prehearing conferences.
The purposes of such conference shall be to maximize understanding of the
intent and application of the proposal, to reach agreement on aspects of the
proposal, if possible, and to attempt to identify and limit the issues of
disagreement among the participants to promote efficient use of time at
hearing. No record need be kept of the prehearing conference, nor shall any
participant or the Board be bound by any discussions conducted at the
prehearing conference. However, with the consent of all participants in the
prehearing conference, a prehearing order delineating issues to be heard,
agreed facts, and other matters may be entered by the hearing officer. Such an
order will not be binding on nonparticipants in the prehearing conference.
(Source: P.A. 94-793, eff. 5-19-06.)
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(415 ILCS 5/28) (from Ch. 111 1/2, par. 1028)
Sec. 28.
Proposal of regulations; procedure.
(a) Any person may present written proposals for the adoption, amendment,
or repeal of the Board's regulations, and the Board may make such proposals
on its own motion. If the Board finds that any such proposal is supported by
an adequate statement of reasons, is accompanied by a petition signed by at
least 200 persons, is not plainly devoid of merit and does not deal with a
subject on which a hearing has been held within the preceding 6 months, the
Board shall schedule a public hearing for consideration of the proposal. If
such proposal is made by the Agency or by the Department, the Board shall
schedule a public hearing without regard to the above conditions.
The Board may hold one or more hearings to consider both the merits and
the economics of the proposal. The Board may also in its discretion schedule a
public hearing upon any proposal without regard to the above conditions.
No substantive regulation shall be adopted, amended, or repealed until
after a public hearing within the area of the State concerned. In the case
of state-wide regulations hearings shall be held in at least two areas. At
least 20 days prior to the scheduled date of the hearing the Board shall
give notice of such hearing by public advertisement in a newspaper of
general circulation in the area of the state concerned of the date, time,
place and purpose of such hearing; give written notice to any person in the
area concerned who has in writing requested notice of public hearings; and
make available to any person upon request copies of the proposed regulations,
together with summaries of the reasons supporting their adoption.
Any public hearing relating to the adoption, amendment, or repeal of
Board regulations under this subsection shall be held before a qualified
hearing officer, who shall be attended by at least one member of the Board,
designated by the Chairman. All such hearings shall be open to the public,
and reasonable opportunity to be heard with respect to the subject of the
hearing shall be afforded to any person. All testimony taken before the
Board shall be recorded stenographically. The transcript so recorded, and
any written submissions to the Board in relation to such hearings, shall be
open to public inspection, and copies thereof shall be made available to
any person upon payment of the actual cost of reproducing the original.
After such hearing the Board may revise the proposed regulations before
adoption in response to suggestions made at the hearing, without conducting
a further hearing on the revisions.
In addition, the Board may revise the proposed regulations after
hearing in response to objections or suggestions made by the Joint
Committee on Administrative Rules pursuant to subsection (b) of Section
5-40 and subsection (a) of Section 5-110 of the Illinois Administrative
Procedure Act, where the Board finds (1) that such objections or
suggestions relate to the statutory authority upon which the regulation is
based, whether the regulation is in proper form, or whether adequate notice
was given, and (2) that the record before the Board is sufficient to
support such a change without further hearing.
Any person heard or represented at a hearing or requesting notice shall
be given written notice of the action of the Board with respect to the
subject thereof.
No rule or regulation, or amendment or repeal thereof, shall become
effective until a certified copy thereof has been filed with the Secretary
of State, and thereafter as provided in the Illinois Administrative Procedure
Act as amended.
Any person who files a petition for adoption of a regulation specific to
that person shall pay a filing fee.
(b) The Board shall not, on its own motion, propose regulations pursuant to
subsection (a) of this Section or Sections 28.2, 28.4 or 28.5 of this Act
to implement the provisions required by or related to the Clean Air Act
Amendments of 1990, as now or hereafter amended. However, nothing herein shall
preclude the Board from, on its own motion:
(1) making technical corrections to adopted rules | ||
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(2) modifying a proposed rule following receipt of | ||
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(3) initiating procedural rulemaking in accordance | ||
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(4) initiating rulemaking necessitated by a court | ||
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(Source: P.A. 87-860; 87-1213; 88-45.)
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(415 ILCS 5/28.1) (from Ch. 111 1/2, par. 1028.1)
Sec. 28.1.
(a) After adopting a regulation of general applicability, the
Board may grant, in a subsequent adjudicatory determination, an adjusted
standard for persons who can justify such an adjustment consistent with
subsection (a) of Section 27 of this Act. In granting such adjusted
standards, the Board may impose such conditions as may be necessary to
accomplish the purposes of this Act. The rule-making provisions of the
Illinois Administrative Procedure Act and Title VII of this Act shall not
apply to such subsequent determinations.
(b) In adopting a rule of general applicability, the Board may specify
the level of justification required of a petitioner for an adjusted standard
consistent with this Section.
(c) If a regulation of general applicability does not specify a level of
justification required of a petitioner to qualify for an adjusted standard,
the Board may grant individual adjusted standards whenever the Board
determines, upon adequate proof by petitioner, that:
(1) factors relating to that petitioner are substantially and
significantly different from the factors relied upon by the Board in
adopting the general regulation applicable to that petitioner;
(2) the existence of those factors justifies an adjusted standard;
(3) the requested standard will not result in environmental or health
effects substantially and significantly more adverse than the effects
considered by the Board in adopting the rule of general applicability; and
(4) the adjusted standard is consistent with any applicable federal law.
(d) The Board shall adopt procedures applicable to such adjusted
standards determinations which, at a minimum, shall
provide: (1) that the petitioner shall submit to the Board proof that,
within 14 days after the filing of the petition, it has published notice of
the filing of the petition by advertisement in a newspaper of general
circulation in the area likely to be affected, including the nature of the
relief sought and advising of the right of any person to request a hearing
within 21 days of the publication of the notice;
(2) that if the Board in its discretion determines that a hearing would be
advisable, or upon the request of any person received by the Board within
21 days after publication of the notice of the filing of the petition, the
Board shall hold a public hearing on the petition, and at least 20 days
before the hearing the Board shall publish notice of the
hearing by advertisement in a newspaper of general circulation in the area
likely to be affected; and (3) that the Board
shall issue an order and opinion
stating the facts and reasons leading to the final Board determination.
Such Board orders and opinions shall be maintained for public inspection by
the Clerk of the Board and a listing of all determinations made pursuant to
this Section shall be published in the Illinois Register and the
Environmental Register at the end of each fiscal year. The Agency shall
participate in proceedings pursuant to this Section.
The Board may grant adjusted standards under this Section prior to adopting
procedures applicable to such adjusted standard determinations.
(e) If any person files a petition for an individual adjusted
standard in lieu of complying with the applicable regulation within 20 days
after the effective date of the regulation, the operation of the regulation
shall be stayed as to such person pending the disposition of the petition;
provided, however, that the operation of any regulation shall not be stayed
if that regulation was adopted by the Board to implement, in whole or in
part, the requirements of the federal Clean Air Act, Safe Drinking Water
Act or Comprehensive Environmental Response, Compensation and Liability
Act, or the State RCRA, UIC or NPDES programs. The Board may, at any time
after the petition is filed, dismiss the petition if it determines that the
petition is frivolous or duplicative, or that the petitioner is not
pursuing disposition of the petition in a timely manner.
(f) Within 20 days after the effective date of any regulation that
implements in whole or in part the requirements of the Clean Air Act, if
any person files a petition for an individual adjusted standard in lieu of
complying with the regulation, such source will be exempt from the
regulation until the Board makes a final determination on the petition. If
the regulation adopted by the Board from which the individual adjusted
standard is sought replaces a previously adopted Board regulation, the
source shall be subject to the previously adopted Board regulation until
final action is taken by the Board on the petition. In its final action on
the petition, the Board shall either establish an adjusted standard for the
source or adopt a standard for the source that is the same as that
contained in the regulation from which the adjusted standard was sought.
(g) A final Board determination made under this Section may
be appealed pursuant to Section 41 of this Act.
(h) This Section shall not be construed so as to affect or limit the
authority of the Board to adopt, amend or repeal regulations specific to
individual persons, geographic areas or sites pursuant to Sections 27 and 28
of this Act, or so as to affect or impair the validity of any existing
regulations.
(i) Any person who files a petition for an adjusted standard under this
Section shall pay a filing fee.
(Source: P.A. 85-1440.)
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(415 ILCS 5/28.2) (from Ch. 111 1/2, par. 1028.2)
Sec. 28.2.
Federally required rules.
(a) For the purposes of this Section, "required rule" means
a rule that is needed to meet the requirements of the federal Clean Water
Act, Safe Drinking Water Act, Clean Air Act (including required submission
of a State Implementation Plan), or Resource Conservation and Recovery Act,
other than a rule required to be adopted under subsection (c) of Section
13, Section 13.3, Section 17.5, subsection (a) or (d) of Section 22.4,
subsection (a) of Section 22.7, or subsection (a) of Section 22.40.
(b) When the Agency proposes a rule that it believes to be a required
rule, the Agency shall so certify in its proposal, identifying the federal
law to which the proposed rule will respond and the rationale upon which
the certification is based. If the certification is accompanied by a
written confirmation from USEPA, the certification shall be under the
signature of the regional administrator, the deputy regional administrator,
the appropriate division director or a responsible senior official from
USEPA headquarters. The Board shall either accept or reject the
certification within 45 days and shall reference the certification in the
first notice of the proposal published in the Illinois Register as provided
by the Illinois Administrative Procedure Act. First notice of the proposal
shall be submitted for publication in the Illinois Register as expeditiously as
is practicable, but in no event later than 6 months from the date the Board
determines whether an economic impact study should be conducted. Should
the Board reject an Agency certification, the proposal shall not be
considered a required rule. If the Board fails to act within the requisite
45 day period, the certification shall be deemed granted.
(c) Whenever a required rule is needed, the Board shall adopt a rule
(i) that fully meets the applicable federal law and (ii) that is not
inconsistent with any substantive environmental standard or prohibition
that is specifically and completely contained and fully set forth within
any Illinois statute, except as authorized by this Act. In determining
whether the rule fully meets the applicable federal law, the Board shall
consider all relevant evidence in the record.
(Source: P.A. 87-860; 88-496.)
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(415 ILCS 5/28.3) (from Ch. 111 1/2, par. 1028.3)
Sec. 28.3.
(a) Utilizing the provisions of Section 28.1 and this
Section alternative requirements may be established by the Board in an
adjusted standards proceeding for the direct discharge of waste solids to
the Mississippi or Ohio Rivers from clarifier sludge and filter backwash
generated in the water purification process. Any public water supply
utilizing the Mississippi or Ohio Rivers as its raw water source may
initiate such a proceeding provided that its waste solids are generated as
described herein and it does not utilize lime softening in the purification
process. An adjusted standard granted by the Board in an adjusted standard
proceeding shall be based upon water quality effects, actual and potential
stream uses, and economic considerations, including those of the discharger
and those affected by the discharge.
(b) No later than January 1, 1991, the public water supply shall make a
declaration regarding the intent to pursue an adjusted standard and
assemble and submit to the Agency any background information in its
possession relevant to current discharge practices. The Agency, after a
review of its files and the submittal, shall request such further
information as it deems necessary for its initial determination. The
Agency shall promptly notify the public water supply in writing of any
discretionary determination that it will not agree with pursuit of an
adjusted standard and shall indicate the basis for such determination.
Such basis may include but not be limited to a judgment that the
information submitted is insufficient,
that due to the nature of the discharge an adjusted standard would be
environmentally unsound, or that a specific alternative control strategy
being considered by the supply is infeasible from either an engineering or
pollutant removal standpoint. If the supply and the Agency agree on
alternative controls, an adjusted standard proceeding before the Board
shall be commenced by the supply by filing jointly with the Agency a
petition. If the Agency has declined to agree with an alternate control
strategy or if the supply declines to accept an Agency proposal, the supply
may commence singly an adjusted standard proceeding before the Board.
(c) If the public water supply and the Agency jointly file an adjusted
standard petition, justifications shall be included in the petition.
Justification based upon discharge impact shall include, as a minimum, an
evaluation of receiving stream ratios, known stream uses, accessibility to
stream and side land use activities (residential, commercial, agricultural,
industrial, recreational), frequency and extent of discharges, inspections
of unnatural bottom deposits, odors, unnatural floating material or color,
stream morphology and results of stream chemical analyses. Where minimal
impact cannot be established, justification shall also include evaluations
of stream sediment analyses, biological surveys (including habitat
assessment), and thorough stream chemical analyses that
may include but are not limited to analysis of parameters regulated in 35
Ill. Adm. Code 302. Except as otherwise provided in this Section, the
petitioner shall adhere to the general procedural rules for adjusted
standards petitions as adopted by the Board. If the petitioner files
singly, justification shall include all components identified as applicable
to instances where minimal impact cannot be established.
(d) Any petition submitted pursuant to this Section shall include the
following:
(1) A written statement, signed by the petitioners or | ||
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(2) Citations to any final enforcement actions | ||
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(3) A description of the proposed alternative control | ||
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(4) A compliance schedule and effective date for | ||
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(e) The Board shall give notice of the petition and shall schedule a
hearing in accordance with 35 Ill. Adm. Code 103. The proceedings shall be
in accordance with 35 Ill. Adm. Code 103.
(f) In considering the proposed petition and the hearing record, the Board
shall take into account the factors contained in subsection (a) of Section
27 of this Act. The Board shall issue and enter a written opinion stating
the facts and reasons leading to its decision within 120 days after the
filing of the petition. The Board shall issue and enter such orders
concerning a petition for an adjusted standard as are appropriate for the
reasons stated in its written opinion. Such decisions may include but are
not limited to decisions accepting or rejecting the petition, directing
that hearings be held to develop further information or to cure any
procedural defects, or remanding the petition to the petitioners with
suggested revisions. The Board shall also include a compliance schedule
for construction of any treatment works, discharge outfall facilities or
operational controls that may be required as a result of its final order.
(g) Application of otherwise applicable discharge limitations to
discharges subject to this Section shall be held in abeyance pending Board
action for those petitioners pursuing an adjusted standard as long as they
have adhered to the filing times in this Section and are making timely and
appropriate progress in seeking an adjusted standard. Petitioners must
take all reasonable steps to minimize discharge quantities and adverse
environmental impacts for the interim operating period during pursuit of an
adjusted standard. In no instances shall interim operating procedures be
relaxed from previously demonstrated and generally attainable performance
levels.
(Source: P.A. 86-1363.)
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(415 ILCS 5/28.4) (from Ch 111 1/2, par. 1028.4)
Sec. 28.4.
(Repealed).
(Source: P.A. 87-1213. Repealed internally, eff. 12-31-97.)
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(415 ILCS 5/28.5)
Sec. 28.5. Clean Air Act rules; fast-track.
(a) This Section applies through December 31, 2026 and applies solely to the adoption of rules proposed by
the Agency and required to be adopted by the State under the Clean Air Act
as amended by the Clean Air Act Amendments of 1990 (CAAA).
(b) For purposes of this Section, a "fast-track" rulemaking proceeding
is a proceeding to promulgate a rule that the CAAA requires to be adopted. For the purposes of this Section, "requires to be adopted" refers only to those
regulations or parts of regulations for which the United States Environmental
Protection Agency is empowered to impose sanctions against the State for failure to adopt such rules. All fast-track rules must be adopted under
procedures set forth in this Section, unless another provision of this Act
specifies the method for adopting a specific rule.
(c) When the CAAA requires rules other than identical in substance rules
to be adopted, upon request by the Agency, the Board must adopt rules under
fast-track rulemaking requirements.
(d) The Agency must submit its fast-track rulemaking proposal in the
following form:
(1) The Agency must file the rule in a form that | ||
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(2) The cover sheet of the proposal shall prominently | ||
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(3) The proposal shall clearly identify the | ||
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(4) The supporting documentation for the rule shall | ||
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(5) The Agency must describe in general the | ||
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(6) The Agency must file a summary of economic and | ||
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(7) The Agency must provide a list of any documents | ||
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(8) The Agency must include in its submission a | ||
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(e) Within 14 days of receipt of the proposal, the Board must file the
rule for first notice under the Illinois Administrative Procedure Act and must
schedule all required hearings on the proposal and cause public notice to be
given in accordance with the Illinois Administrative Procedure Act and the
CAAA.
(f) The Board must set 3 hearings on the proposal, each of which shall
be scheduled to continue from day to day, excluding weekends and State and
federal holidays, until completed. The Board must
require the written submission of all testimony at least 10 days before a
hearing, with simultaneous service to all participants of record in the
proceeding as of 15 days prior to hearing, unless a waiver is granted by
the Board for good cause. In order to further expedite the hearings,
presubmitted testimony shall be accepted into the record without the reading of
the testimony at hearing, provided that the witness swears to the testimony and
is available for questioning, and the Board must make every effort to conduct
the proceedings expeditiously and avoid duplication and extraneous material.
(1) The first hearing shall be held within 55 days of | ||
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(A) If, after the first hearing, the Agency and | ||
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(B) If, after the first hearing, the Agency and | ||
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(2) The second hearing shall be scheduled to commence | ||
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(3) The third hearing shall be scheduled to commence | ||
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(g) In any fast-track rulemaking proceeding, the Board must accept
evidence and comments on the economic impact of any provision of the rule
and must consider the economic impact of the rule based on the record.
The Board may order an economic impact study in a manner that will not
prevent adoption of the rule within the time required by subsection (n)
of this Section.
(h) In all fast-track rulemakings under this Section, the Board must
take into account factors set forth in subsection (a) of Section 27 of
this Act.
(i) The Board must adopt rules in the fast-track rulemaking docket
under the requirements of this Section that the CAAA requires to be
adopted, and may consider a non-required rule in a second docket that shall
proceed under Title VII of this Act.
(j) The Board is directed to take whatever measures are available to it
to complete fast-track rulemaking as expeditiously as possible consistent
with the need for careful consideration. These measures shall include, but
not be limited to, having hearings transcribed on an expedited basis.
(k) Following the hearings, the Board must close the record 14 days
after the availability of the transcript.
(l) The Board must not revise or otherwise change an Agency fast-track
rulemaking proposal without agreement of the Agency until after the end
of the hearing and comment period. Any revisions to an Agency
proposal shall be based on the record of the proceeding.
(m) All rules adopted by the Board under this Section shall be based
solely on the record before it.
(n) The Board must complete a fast-track rulemaking by adopting
a second notice order no later than 130 days after receipt of the proposal if
no third hearing is held and no later than 150 days if the third hearing is
held. If the order includes a rule, the Illinois Board must file the rule for
second notice under the Illinois Administrative Procedure Act within 5 days
after adoption of the order.
(o) Upon receipt of a statement of no objection to the rule from the
Joint Committee on Administrative Rules, the Board must adopt the final
order and submit the rule to the Secretary of State for publication and
certification within 21 days.
(Source: P.A. 101-645, eff. 6-26-20; 102-243, eff. 8-3-21.) |
(415 ILCS 5/28.6)
Sec. 28.6.
Rulemaking to update incorporation by reference.
(a) Any person may file a proposal with the Board to update an incorporation
by reference included in a Board rule. The Board or the Agency may also make
such a proposal on its own initiative.
(b) A rulemaking to update an incorporation by reference under this Section
shall be for the sole purpose of replacing a reference to an older or obsolete
version of a document with a reference to the current version of that document
or its successor document.
(c) A rulemaking to update an incorporation by reference under this Section
shall comply with Sections 5-40 and 5-75 of the Illinois Administrative
Procedure Act. Sections 27 and 28 of this Act do not apply to rulemaking
under this Section.
(d) If an objection to the proposed amendment is filed during the public
comment period required under Section 5-40 of the Illinois Administrative
Procedure Act, then the proposed amendment shall not be adopted pursuant to
this Section. Nothing in this Section precludes the adoption of a change to
an incorporation by reference through other lawful rulemaking procedures.
(e) The Board may adopt procedural rules to implement this Section.
(Source: P.A. 93-152, eff. 7-10-03.)
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(415 ILCS 5/29) (from Ch. 111 1/2, par. 1029)
Sec. 29.
(a) Any person adversely affected or threatened by any rule
or regulation of the Board may obtain a determination of the validity or
application of such rule or regulation by petition under subsection (a) of Section
41 of this Act for judicial review of the Board's final order adopting the rule or regulation. For purposes of the 35-day appeal period of subsection (a) of Section 41, a person is deemed to have been served with the Board's final order on the date on which the rule or regulation becomes effective pursuant to the Illinois Administrative Procedure Act.
(b) Action by the Board in adopting any regulation for which judicial
review could have been obtained under Section 41 of this Act shall not be
subject to review regarding the regulation's validity or application in any
subsequent proceeding under Title VIII, Title IX, or Section 40 of this Act.
(c) This Section does not apply to orders entered by the Board pursuant to Section 38.5 of this Act. Final orders entered by the Board pursuant to Section 38.5 of this Act are subject to judicial review under subsection (j) of that Section. Interim orders entered by the Board pursuant to Section 38.5 are not subject to judicial review under this Section or Section 38.5. (Source: P.A. 99-934, eff. 1-27-17; 99-937, eff. 2-24-17; 100-863, eff. 8-14-18.)
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(415 ILCS 5/Tit. VIII heading) TITLE VIII:
ENFORCEMENT
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(415 ILCS 5/30) (from Ch. 111 1/2, par. 1030)
Sec. 30.
Investigations.
The Agency shall cause investigations to be made
upon the request of the Board or upon receipt of information concerning an
alleged violation of this Act, any rule or regulation adopted
under this Act, any permit or term or condition of a permit, or
any Board order, and may cause to be made such other investigations as it
shall deem advisable.
(Source: P.A. 92-574, eff. 6-26-02; 93-152, eff. 7-10-03.)
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(415 ILCS 5/31) (from Ch. 111 1/2, par. 1031) Sec. 31. Notice; complaint; hearing. (a)(1) Within 180 days after becoming aware of an alleged violation of this Act, any rule adopted under this Act, a permit granted by the Agency, or a condition of such a permit, the Agency shall issue and serve, by certified mail, upon the person complained against a written notice informing that person that the Agency has evidence of the alleged violation. At a minimum, the written notice shall contain: (A) a notification to the person complained against | ||
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(B) a detailed explanation by the Agency of the | ||
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(C) an explanation by the Agency of the actions that | ||
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(D) an explanation of any alleged violation that the | ||
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(2) A written response to the violations alleged shall be submitted to the Agency, by certified mail, within 45 days after receipt of notice by the person complained against, or within an extended time period as agreed to by the Agency and person complained against. The written response shall include: (A) information in rebuttal, explanation, or | ||
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(B) if the person complained against desires to enter | ||
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(C) a request for a meeting with appropriate Agency | ||
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(3) If the person complained against fails to respond in accordance with the requirements of subdivision (2) of this subsection (a), the failure to respond shall be considered a waiver of the requirements of this subsection (a) and nothing in this Section shall preclude the Agency from proceeding pursuant to subsection (b) of this Section. (4) A meeting requested pursuant to subdivision (2) of this subsection (a) shall be held without a representative of the Office of the Illinois Attorney General or the State's Attorney of the county in which the alleged violation occurred, within 60 days after receipt of notice by the person complained against, or within an extended time period as agreed to by the Agency and person complained against. At the meeting, the Agency shall provide an opportunity for the person complained against to respond to each alleged violation, suggested resolution, and suggested implementation time frame, and to suggest alternate resolutions. (5) If a meeting requested pursuant to subdivision (2) of this subsection (a) is held, the person complained against shall, within 21 days following the meeting or within an extended time period as agreed to by the Agency and person complained against, submit by certified mail to the Agency a written response to the alleged violations. The written response shall include: (A) additional information in rebuttal, explanation, | ||
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(B) if the person complained against desires to enter | ||
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(C) a statement indicating that, should the person | ||
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(6) If the person complained against fails to respond in accordance with the requirements of subdivision (5) of this subsection (a), the failure to respond shall be considered a waiver of the requirements of this subsection (a) and nothing in this Section shall preclude the Agency from proceeding pursuant to subsection (b) of this Section. (7) Within 30 days after the Agency's receipt of a written response submitted by the person complained against pursuant to subdivision (2) of this subsection (a) if a meeting is not requested or pursuant to subdivision (5) of this subsection (a) if a meeting is held, or within a later time period as agreed to by the Agency and the person complained against, the Agency shall issue and serve, by certified mail, upon the person complained against (i) a proposed Compliance Commitment Agreement or (ii) a notice that one or more violations cannot be resolved without the involvement of the Office of the Attorney General or the State's Attorney of the county in which the alleged violation occurred and that no proposed Compliance Commitment Agreement will be issued by the Agency for those violations. The Agency shall include terms and conditions in the proposed Compliance Commitment Agreement that are, in its discretion, necessary to bring the person complained against into compliance with the Act, any rule adopted under the Act, any permit granted by the Agency, or any condition of such a permit. The Agency shall take into consideration the proposed terms for the proposed Compliance Commitment Agreement that were provided under subdivision (a)(2)(B) or (a)(5)(B) of this Section by the person complained against. (7.5) Within 30 days after the receipt of the Agency's proposed Compliance Commitment Agreement by the person complained against, or within a later time period not to exceed an additional 30 days as agreed to by the Agency and the person complained against, the person shall either (i) agree to and sign the proposed Compliance Commitment Agreement provided by the Agency and submit the signed Compliance Commitment Agreement to the Agency by certified mail or (ii) notify the Agency in writing by certified mail of the person's rejection of the proposed Compliance Commitment Agreement. If the person complained against fails to respond to the proposed Compliance Commitment Agreement within 30 days as required under this paragraph, the proposed Compliance Commitment Agreement is deemed rejected by operation of law. Any Compliance Commitment Agreement entered into under item (i) of this paragraph may be amended subsequently in writing by mutual agreement between the Agency and the signatory to the Compliance Commitment Agreement, the signatory's legal representative, or the signatory's agent. (7.6) No person shall violate the terms or conditions of a Compliance Commitment Agreement entered into under subdivision (a)(7.5) of this Section. Successful completion of a Compliance Commitment Agreement or an amended Compliance Commitment Agreement shall be a factor to be weighed, in favor of the person completing the Agreement, by the Office of the Illinois Attorney General in determining whether to file a complaint for the violations that were the subject of the Agreement. (7.7) Within 30 days after a Compliance Commitment Agreement takes effect or is amended in accordance with paragraph (7.5), the Agency shall publish a copy of the final executed Compliance Commitment Agreement on the Agency's website. The Agency shall maintain an Internet database of all Compliance Commitment Agreements entered on or after August 24, 2018 (the effective date of Public Act 100-1080). At a minimum, the database shall be searchable by the following categories: the county in which the facility that is subject to the Compliance Commitment Agreement is located; the date of final execution of the Compliance Commitment Agreement; the name of the respondent; and the media involved, including air, water, land, or public water supply. (8) Nothing in this subsection (a) is intended to require the Agency to enter into Compliance Commitment Agreements for any alleged violation that the Agency believes cannot be resolved without the involvement of the Office of the Attorney General or the State's Attorney of the county in which the alleged violation occurred, for, among other purposes, the imposition of statutory penalties. (9) The Agency's failure to respond within 30 days of receipt to a written response submitted pursuant to subdivision (2) of this subsection (a) if a meeting is not requested or pursuant to subdivision (5) of this subsection (a) if a meeting is held, or within the time period otherwise agreed to in writing by the Agency and the person complained against, shall be deemed an acceptance by the Agency of the proposed terms of the Compliance Commitment Agreement for the violations alleged in the written notice issued under subdivision (1) of this subsection (a) as contained within the written response. (10) If the person complained against complies with the terms of a Compliance Commitment Agreement accepted pursuant to this subsection (a), the Agency shall not refer the alleged violations which are the subject of the Compliance Commitment Agreement to the Office of the Illinois Attorney General or the State's Attorney of the county in which the alleged violation occurred. However, nothing in this subsection is intended to preclude the Agency from continuing negotiations with the person complained against or from proceeding pursuant to the provisions of subsection (b) of this Section for alleged violations that remain the subject of disagreement between the Agency and the person complained against following fulfillment of the requirements of this subsection (a). (11) Nothing in this subsection (a) is intended to preclude the person complained against from submitting to the Agency, by certified mail, at any time, notification that the person complained against consents to waiver of the requirements of subsections (a) and (b) of this Section. (12) The Agency shall have the authority to adopt rules for the administration of this subsection (a). The rules shall be adopted in accordance with the provisions of the Illinois Administrative Procedure Act. (b) For alleged violations that remain the subject of disagreement between the Agency and the person complained against following fulfillment of the requirements of subsection (a) of this Section, and for alleged violations of the terms or conditions of a Compliance Commitment Agreement entered into under subdivision (a)(7.5) of this Section as well as the alleged violations that are the subject of the Compliance Commitment Agreement, and as a precondition to the Agency's referral or request to the Office of the Illinois Attorney General or the State's Attorney of the county in which the alleged violation occurred for legal representation regarding an alleged violation that may be addressed pursuant to subsection (c) or (d) of this Section or pursuant to Section 42 of this Act, the Agency shall issue and serve, by certified mail, upon the person complained against a written notice informing that person that the Agency intends to pursue legal action. Such notice shall notify the person complained against of the violations to be alleged and offer the person an opportunity to meet with appropriate Agency personnel in an effort to resolve any alleged violations that could lead to the filing of a formal complaint. The meeting with Agency personnel shall be held within 30 days after receipt of notice served pursuant to this subsection upon the person complained against, unless the Agency agrees to a postponement or the person notifies the Agency that he or she will not appear at a meeting within the 30-day time period. Nothing in this subsection is intended to preclude the Agency from following the provisions of subsection (c) or (d) of this Section or from requesting the legal representation of the Office of the Illinois Attorney General or the State's Attorney of the county in which the alleged violations occurred for alleged violations which remain the subject of disagreement between the Agency and the person complained against after the provisions of this subsection are fulfilled. (c)(1) For alleged violations which remain the subject of disagreement between the Agency and the person complained against following waiver pursuant to subdivision (10) of subsection (a) of this Section or fulfillment of the requirements of subsections (a) and (b) of this Section, the Office of the Illinois Attorney General or the State's Attorney of the county in which the alleged violation occurred shall issue and serve upon the person complained against a written notice, together with a formal complaint, which shall specify the provision of the Act, rule, regulation, permit, or term or condition thereof under which such person is said to be in violation and a statement of the manner in and the extent to which such person is said to violate the Act, rule, regulation, permit, or term or condition thereof and shall require the person so complained against to answer the charges of such formal complaint at a hearing before the Board at a time not less than 21 days after the date of notice by the Board, except as provided in Section 34 of this Act. Such complaint shall be accompanied by a notification to the defendant that financing may be available, through the Illinois Environmental Facilities Financing Act, to correct such violation. A copy of such notice of such hearings shall also be sent to any person who has complained to the Agency respecting the respondent within the six months preceding the date of the complaint, and to any person in the county in which the offending activity occurred that has requested notice of enforcement proceedings; 21 days notice of such hearings shall also be published in a newspaper of general circulation in such county. The respondent may file a written answer, and at such hearing the rules prescribed in Sections 32 and 33 of this Act shall apply. In the case of actual or threatened acts outside Illinois contributing to environmental damage in Illinois, the extraterritorial service-of-process provisions of Sections 2-208 and 2-209 of the Code of Civil Procedure shall apply. With respect to notices served pursuant to this subsection (c)(1) that involve hazardous material or wastes in any manner, the Agency shall annually publish a list of all such notices served. The list shall include the date the investigation commenced, the date notice was sent, the date the matter was referred to the Attorney General, if applicable, and the current status of the matter. (2) Notwithstanding the provisions of subdivision (1) of this subsection (c), whenever a complaint has been filed on behalf of the Agency or by the People of the State of Illinois, the parties may file with the Board a stipulation and proposal for settlement accompanied by a request for relief from the requirement of a hearing pursuant to subdivision (1). Unless the Board, in its discretion, concludes that a hearing will be held, the Board shall cause notice of the stipulation, proposal and request for relief to be published and sent in the same manner as is required for hearing pursuant to subdivision (1) of this subsection. The notice shall include a statement that any person may file a written demand for hearing within 21 days after receiving the notice. If any person files a timely written demand for hearing, the Board shall deny the request for relief from a hearing and shall hold a hearing in accordance with the provisions of subdivision (1). (3) Notwithstanding the provisions of subdivision (1) of this subsection (c), if the Agency becomes aware of a violation of this Act arising from, or as a result of, voluntary pollution prevention activities, the Agency shall not proceed with the written notice required by subsection (a) of this Section unless: (A) the person fails to take corrective action or | ||
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(B) the Agency believes that the violation poses a | ||
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(d)(1) Any person may file with the Board a complaint, meeting the requirements of subsection (c) of this Section, against any person allegedly violating this Act, any rule or regulation adopted under this Act, any permit or term or condition of a permit, or any Board order. The complainant shall immediately serve a copy of such complaint upon the person or persons named therein. Unless the Board determines that such complaint is duplicative or frivolous, it shall schedule a hearing and serve written notice thereof upon the person or persons named therein, in accord with subsection (c) of this Section. (2) Whenever a complaint has been filed by a person other than the Attorney General or the State's Attorney, the parties may file with the Board a stipulation and proposal for settlement accompanied by a request for relief from the hearing requirement of subdivision (c)(1) of this Section. Unless the Board, in its discretion, concludes that a hearing should be held, no hearing on the stipulation and proposal for settlement is required. (e) In hearings before the Board under this Title the burden shall be on the Agency or other complainant to show either that the respondent has caused or threatened to cause air or water pollution or that the respondent has violated or threatens to violate any provision of this Act or any rule or regulation of the Board or permit or term or condition thereof. If such proof has been made, the burden shall be on the respondent to show that compliance with the Board's regulations would impose an arbitrary or unreasonable hardship. (f) The provisions of this Section shall not apply to administrative citation actions commenced under Section 31.1 of this Act. (Source: P.A. 103-168, eff. 6-30-23; 103-605, eff. 7-1-24.) |
(415 ILCS 5/31.1) (from Ch. 111 1/2, par. 1031.1)
Sec. 31.1. Administrative citation.
(a) The prohibitions specified in subsections (o) and (p) of
Section 21 and subsection (k) of Section 55 of this Act shall be enforceable either by administrative
citation under this Section or as otherwise provided by this Act. Violations of Sections 22.38, 22.51, and 22.51a of this Act shall be enforceable either by administrative citation under this Section or as otherwise provided by this Act.
(b) Whenever Agency personnel or personnel of a unit of local government to
which the Agency has delegated its functions pursuant to subsection (r) of
Section 4 of this Act, on the basis of direct observation, determine that any
person has violated any provision of subsection (o) or (p) of Section
21, Section 22.38, Section 22.51, Section 22.51a, or subsection (k) of Section 55 of this Act, the Agency or such unit of local government may issue and serve
an administrative citation upon such person within not more than 60 days after
the date of the observed violation. Each such citation issued shall be served
upon the person named therein or such person's authorized agent for service of
process, and shall include the following information:
(1) a statement specifying the provisions of | ||
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(2) a copy of the inspection report in which the | ||
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(3) the penalty imposed by subdivision (b)(4) or | ||
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(4) instructions for contesting the administrative | ||
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(5) an affidavit by the personnel observing the | ||
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(c) The Agency or unit of local government shall file a copy of each
administrative citation served under subsection (b) of this Section with
the Board no later than 10 days after the date of service.
(d) (1) If the person named in the administrative citation fails to
petition the Board for review within 35 days from the date of service, the
Board shall adopt a final order, which shall include the administrative
citation and findings of violation as alleged in the citation, and shall impose
the penalty specified in subdivision (b)(4) or (b)(4-5) of Section 42.
(2) If a petition for review is filed before the Board to contest an
administrative citation issued under subsection (b) of this Section, the
Agency or unit of local government shall appear as a complainant at a
hearing before the Board to be conducted pursuant to Section 32 of this Act
at a time not less than 21 days after notice of such hearing has
been sent by the Board to the Agency or unit of local government and the
person named in the citation. In such hearings, the burden of proof shall be
on the Agency or unit of local government. If, based on the record, the Board
finds that the alleged violation occurred, it shall adopt a final order which
shall include the administrative citation and findings of violation as alleged
in the citation, and shall impose the penalty specified in subdivision (b)(4)
or (b)(4-5) of Section 42. However, if the Board finds that the person
appealing the citation has shown that the violation resulted from
uncontrollable circumstances, the Board shall adopt a final order which makes
no finding of violation and which imposes no penalty.
(e) Sections 10-25 through 10-60 of the Illinois Administrative Procedure
Act shall not apply to any administrative citation issued under subsection (b)
of this Section.
(f) The other provisions of this Section shall not apply to a sanitary
landfill operated by a unit of local government solely for the purpose of
disposing of water and sewage treatment plant sludges, including necessary
stabilizing materials.
(g) All final orders issued and entered by the Board pursuant to this
Section shall be enforceable by injunction, mandamus or other appropriate
remedy, in accordance with Section 42 of this Act.
(Source: P.A. 102-310, eff. 8-6-21.)
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(415 ILCS 5/31.2) (from Ch. 111 1/2, par. 1031.2)
Sec. 31.2.
A landowner who provides information to the Agency in good faith
concerning a name, address or other evidence of a person's identity found
in garbage or other solid waste illegally dumped on the landowner's land
shall have no liability to that person for any action taken by the Agency
against the person as a result of the information provided by the landowner.
(Source: P.A. 86-1195.)
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(415 ILCS 5/32) (from Ch. 111 1/2, par. 1032)
Sec. 32.
All hearings under this Title shall be held before a qualified hearing
officer, who may be attended by at least one member of the Board,
designated by the Chairman. All such hearings shall be open to the public,
and any person may submit written statements to the Board in connection
with the subject thereof. In addition, the Board may permit any person to
offer oral testimony.
Any party to a hearing under this subsection may be represented by
counsel, may make oral or written argument, offer testimony, cross-examine
witnesses, or take any combination of such actions. All testimony taken
before the Board shall be recorded stenographically. The transcript so
recorded, and any additional matter accepted for the record, shall be open
to public inspection, and copies thereof shall be made available to any
person upon payment of the actual cost of reproducing the original.
(Source: P.A. 76-2429.)
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(415 ILCS 5/33) (from Ch. 111 1/2, par. 1033)
Sec. 33.
Board orders.
(a) After due consideration of the written and oral
statements, the testimony and arguments that shall be submitted at the
hearing, or upon default in appearance of the respondent on return day
specified in the notice, the Board shall issue and enter such final order,
or make such final determination, as it shall deem appropriate under the
circumstances. It shall not be a defense to findings of violations of the
provisions of this Act, any rule or regulation adopted under this Act,
any permit or term or condition of a permit, or any Board order, or a bar to
the assessment of
civil penalties that the person has come into compliance subsequent to the
violation, except where such action is barred by any applicable State or
federal statute of limitation. In all such matters the Board shall file and
publish a written opinion stating the facts and reasons leading to its
decision. The Board shall immediately notify the respondent of such order
in writing by registered mail.
(b) Such order may include a direction to cease and desist from
violations of this Act, any rule or regulation adopted under this Act,
any permit or term or condition of a permit, or any Board order, and/or the imposition by the Board of civil
penalties in accord with Section 42 of this Act. The Board may also
revoke the permit as a penalty for violation. If such order includes a
reasonable delay during which to correct a violation, the Board may require
the posting of sufficient performance bond or other security to assure the
correction of such violation within the time prescribed.
(c) In making its orders and determinations, the Board shall take
into consideration all the facts and circumstances bearing upon the
reasonableness of the emissions, discharges or deposits involved including,
but not limited to:
(i) the character and degree of injury to, or | ||
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(ii) the social and economic value of the pollution | ||
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(iii) the suitability or unsuitability of the | ||
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(iv) the technical practicability and economic | ||
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(v) any subsequent compliance.
Whenever a proceeding before the Board may affect the right of the
public individually or collectively to the use of community sewer or water
facilities provided by a municipally owned or publicly regulated company,
the Board shall at least 30 days prior to the scheduled date of the first
hearing in such proceeding, give notice of the date, time, place, and
purpose of such hearing by public advertisement in a newspaper of general
circulation in the area of the State concerned. The Board shall conduct a
full and complete hearing into the social and economic impact which would
result from restriction or denial of the right to use such facilities and
allow all persons claiming an interest to intervene as parties and present
evidence of such social and economic impact.
(d) All orders issued and entered by the Board pursuant to this Section
shall be enforceable by injunction, mandamus, or other appropriate remedy,
in accordance with Section 42 of this Act.
(Source: P.A. 93-152, eff. 7-10-03.)
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(415 ILCS 5/34) (from Ch. 111 1/2, par. 1034)
Sec. 34. (a) Upon a finding that episode or emergency conditions
specified in Board regulations exist, the Agency shall declare such alerts
or emergencies as provided by those regulations. While such an alert or
emergency is in effect, the Agency may seal any equipment, vehicle, vessel,
aircraft, or other facility operated in violation of such regulations.
(b) In cases other than those identified in subsection (a) of this Section: (1) At any pollution control facility where the | ||
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(2) At any other site or facility where the Agency | ||
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(c) It shall be a Class A misdemeanor to break any seal affixed under
this section, or to operate any sealed equipment, vehicle, vessel,
aircraft, or other facility until the seal is removed according to law.
(d) The owner or operator of any equipment, vehicle, vessel, aircraft or
other facility sealed pursuant to this section is entitled to a hearing in
accord with Section 32 of this Act to determine whether the seal should be
removed; except that in such hearing at least one Board member shall be
present, and those Board members present may render a final decision
without regard to the requirements of paragraph (a) of Section 5 of this
Act. The petitioner may also seek immediate injunctive relief.
(Source: P.A. 94-272, eff. 7-19-05.)
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(415 ILCS 5/Tit. IX heading) TITLE IX: VARIANCES AND TIME-LIMITED WATER QUALITY STANDARDS
(Source: P.A. 99-937, eff. 2-24-17.) |
(415 ILCS 5/35) (from Ch. 111 1/2, par. 1035)
Sec. 35.
Variances; general provisions.
To the extent consistent with applicable provisions of the
Federal Water Pollution Control Act, as now or hereafter amended, the Federal
Safe Drinking Water Act (P.L. 93-523), as now or hereafter amended, the Clean
Air Act as amended in 1977 (P.L. 95-95), and regulations pursuant thereto, and
to the extent consistent with applicable provisions of the Federal Resource
Conservation and Recovery Act of 1976 (P.L. 94-580), and regulations pursuant
thereto:
(a) The Board may grant individual
variances beyond the limitations prescribed in this Act, whenever it
is found, upon presentation of adequate proof, that compliance with any
rule or regulation, requirement or order of the Board would impose an
arbitrary or unreasonable hardship. However, the Board is not required to
find that an arbitrary or unreasonable hardship exists exclusively because
the regulatory standard is under review and the costs of compliance are
substantial and certain. In granting or denying a variance the Board shall
file and publish a written opinion stating the facts and reasons leading to
its decision.
(b) The Agency shall grant provisional variances whenever
it is found, upon presentation of adequate proof, that compliance on a short
term basis with any rule or
regulation, requirement or order of the Board, or with any permit
requirement, would impose an arbitrary or unreasonable hardship.
(Source: P.A. 93-152, eff. 7-10-03.)
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(415 ILCS 5/36) (from Ch. 111 1/2, par. 1036)
Sec. 36.
Variances and provisional variances.
(a) In granting a variance the Board may impose such
conditions as the policies of this Act may require. If the hardship
complained of consists solely of the need for a reasonable delay in
which to correct a violation of this Act or of the Board regulations,
the Board shall condition the grant of such variance upon the posting of
sufficient performance bond or other security to assure the completion
of the work covered by the variance. The Board shall have no authority
to delegate to the Agency its powers to require such performance bond.
The original amount of such performance bond shall not exceed the
reasonable cost of the work to be completed pursuant to the variance.
The obligation under such bond shall at no time exceed the reasonable
cost of work remaining pursuant to the variance.
(b) Except as provided by Section 38 of this Act, any variance
granted pursuant to the provisions of this Section shall be granted for
such period of time, not exceeding five years, as shall be specified by
the Board at the time of the grant of such variance, and upon the
condition that the person who receives such variance shall make such
periodic progress reports as the Board shall specify. Such variance may
be extended from year to year by affirmative action of the Board, but
only if satisfactory progress has been shown.
(c) Any provisional variance granted by the Agency pursuant
to subsection (b) of Section 35 shall be for a period of time not to exceed
45 days. A provisional variance may be extended up to an additional 45 days by written decision of the Agency.
The provisional variances granted to any one person shall not exceed a total
of 90 days during any calendar year.
(Source: P.A. 93-152, eff. 7-10-03.)
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(415 ILCS 5/37) (from Ch. 111 1/2, par. 1037)
Sec. 37. Variances; procedures.
(a) Any person seeking a variance pursuant to subsection
(a) of Section 35 shall do so by filing a petition for variance with the
Board and providing a copy of the petition to the Agency. Any person filing such a petition shall (i) pay a
filing fee, (ii) promptly give written notice of such
petition to any person in the county in which the installation or property
for which variance is sought is located who has filed with the Board a written request for notice
of variance petitions, the State's attorney of such county, the Chairman of
the County Board of such county, and to each member of the General Assembly
from the legislative district in which that installation or property is
located, and (iii) publish a single notice of such petition in a newspaper
of general circulation in such county. The notices required by this Section
shall be in a format prescribed by the Board and shall include the street address, and if there is no street address then
the legal description or the location with reference to any well known
landmark, highway, road, thoroughfare or intersection.
The Agency shall promptly investigate such petition and consider the views
of persons who might be adversely affected by the grant of a variance.
The Agency shall make a recommendation to the Board as to the
disposition of the petition. If the Board, in its discretion, concludes
that a hearing would be advisable, or if the Agency or any other person
files a written objection to the grant of such variance within 21 days,
together with a written request for hearing, then a hearing shall be
held, under the rules prescribed in Sections 32 and 33 (a) of this Act,
and the burden of proof shall be on the petitioner.
(b) Any person seeking a provisional variance pursuant to subsection
(b) of Section 35 shall make a request to the Agency. The Agency shall
promptly investigate and consider the merits of the request.
If the Agency fails to take final action within 30 days after receipt of
the request for a provisional variance, or if the Agency denies the
request, the person may initiate a proceeding with the Board under
subsection (a) of Section 35.
If the Agency grants a provisional variance, the Agency must promptly
file a copy of its written decision with the Board, and shall
give prompt notice of its action to the public by issuing a press release for
distribution to newspapers of general circulation in the county. The Board
must maintain for public inspection copies of all provisional variances filed
with it by the Agency.
(Source: P.A. 98-822, eff. 8-1-14.)
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(415 ILCS 5/38) (from Ch. 111 1/2, par. 1038)
Sec. 38.
(a) Except as otherwise provided in subsection (c), if the
Board fails to take final action upon a variance request within 120 days
after the filing of the petition or the receipt of a request for hearing
pursuant to subsection (a) of Section 37, whichever is later, the
petitioner may deem the request granted under this Act, for a period not to
exceed one year. However, the period of 120 days shall not run for any such
period of time, not to exceed 30 days, during which the Board is without
sufficient membership to constitute the quorum required by subsection (a) of
Section 5 of this Act, provided that such 120 day period shall not be stayed
for lack of quorum beyond 30 days regardless of whether the lack of quorum
exists at the beginning of such 120 day period or occurs during the running of
such 120 day period.
(b) If any person files a petition for a variance from a rule or
regulation within 20 days after the effective date of such rule or
regulation, the operation of such rule or regulation shall be stayed as to such
person pending the disposition of the petition; provided, however, that
the operation of any rule or regulation adopted by the Board which implements,
in whole or in part, a State RCRA, UIC, or NPDES program shall not be stayed.
The Board may hold a hearing upon said petition 5 days from the date of
notice of such hearing or thereafter. All the provisions of this Title
shall apply to petitions for extension of existing variances and to
proposed Contaminant Reduction programs designed to secure delayed
compliance with the Act or with Board regulations.
(c) Subsection (a) shall not apply to a request for a variance from
any provision of this Act or any rule or regulation adopted by the Board
which implements, in whole or in part, a State RCRA, UIC, or NPDES program.
If the Board fails to take final action on any request for a variance from
any such rule or regulation within 120 days of the filing of the petition,
the Petitioner shall be entitled to an Appellate Court order pursuant to
Section 41(d) of this Act.
(Source: P.A. 87-914.)
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(415 ILCS 5/38.5) Sec. 38.5. Time-limited water quality standards. (a) To the extent consistent with the Federal Water Pollution Control Act, rules adopted by the United States Environmental Protection Agency under that Act, this Section, and rules adopted by the Board under this Section, the Board may adopt, and may conduct non-adjudicatory proceedings to adopt, a time-limited water quality standard for a watershed or one or more of the following: (1) water bodies; (2) waterbody segments; or (3) dischargers. (b) A time-limited water quality standard may be sought by: (1) persons who file with the Board a petition for a | ||
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(2) persons who have a petition for a variance from a | ||
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(c) Any petition for a variance from a water quality standard under Section 35 of this Act that was filed with the Board before the effective date of this amendatory Act of the 99th General Assembly and that has not been disposed of by the Board shall be converted, by operation of law, into a petition for a time-limited water quality standard under this Section on the effective date of this amendatory Act of the 99th General Assembly. (d) The Board's hearings concerning the adoption of time-limited water quality standards shall be open to the public and must be held in compliance with 40 CFR 131.14, including, but not limited to, the public notice and participation requirements referenced in 40 CFR 25 and 40 CFR 131.20(b); this Section; and rules adopted by the Board under this Section. (e) Within 21 days after any petition for a time-limited water quality standard is filed with the Board under this Section, or within 21 days after the effective date of this amendatory Act of the 99th General Assembly in the case of a petition for time-limited water quality standard created under subsection (c) of this Section, the Agency shall file with the Board a response that: (1) identifies the discharger or classes of | ||
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(2) identifies the watershed, water bodies, or | ||
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(3) identifies the appropriate type of time-limited | ||
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(4) recommends, for the purposes of subsection (h), | ||
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(f) Within 30 days after receipt of a response from the Agency under subsection (e) of this Section, the Board shall enter a final order that establishes the discharger or classes of dischargers that may be covered by the time-limited water quality standard and prompt deadlines by which the discharger and dischargers in the identified classes must, for the purposes of subsection (h), file with the Board either: (1) a petition for a time-limited water quality | ||
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(2) an amended petition for a time-limited water | ||
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(g) As soon as practicable after entering an order under subsection (f), the Board shall conduct an evaluation of the petition to assess its substantial compliance with 40 CFR 131.14, this Section, and rules adopted pursuant to this Section. After the Board determines that a petition is in substantial compliance with those requirements, the Agency shall file a recommendation concerning the petition. (h)(1) The effectiveness of a water quality standard from which relief is sought shall be stayed as to the following persons from the effective date of the water quality standard until the stay is terminated as provided in this subsection: (A) any person who has a petition for a variance | ||
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(B) any person who files a petition for a | ||
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(C) any person, not covered by subparagraph (B) | ||
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(2) If the Board determines that the petition of a | ||
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(A) denies the petition and all rights to | ||
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(B) adopts the time-limited water quality | ||
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(i) approves the time-limited water quality | ||
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(ii) disapproves the time-limited water | ||
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(3) If the Board determines that the petition of a | ||
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(4) If the Board determines that the amended petition | ||
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(A) denies the petition and all rights to | ||
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(B) adopts the time-limited water quality | ||
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(i) approves the time-limited water quality | ||
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(ii) disapproves the time-limited water | ||
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(5) If the Board determines that the amended petition | ||
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(6) If the Board determines that a petition for a | ||
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(7) If a person other than a person described in | ||
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(i) Each time-limited water quality standard adopted by the Board for more than one discharger shall set forth criteria that may be used by dischargers or classes of dischargers to obtain coverage under the time-limited water quality standard during its duration. Any discharger that has not obtained a time-limited water quality standard may obtain coverage under a Board-approved time-limited water quality standard by satisfying, at the time of the renewal or modification of that person's federal National Pollutant Discharge Elimination System (NPDES) permit or at the time the person files an application for certification under Section 401 of the federal Clean Water Act, the Board-approved criteria for coverage under the time-limited water quality standard. (j) Any person who is adversely affected or threatened by a final Board order entered pursuant to this Section may obtain judicial review of the Board order by filing a petition for review within 35 days after the date the Board order was served on the person affected by the order, under the provisions of the Administrative Review Law, and the rules adopted pursuant thereto, except that review shall be afforded directly in the appellate court for the district in which the cause of action arose and not in the circuit court. For purposes of judicial review under this subsection, a person is deemed to have been served with the Board's final order on the date on which the order is first published by the Board on its website. No challenge to the validity of a final Board order under this Section shall be made in any enforcement proceeding under Title XII of this Act as to any issue that could have been raised in a timely petition for review under this subsection. (k) Not later than 6 months after the effective date of this amendatory Act of the 99th General Assembly, the Agency shall propose, and not later than 9 months thereafter the Board shall adopt, rules that prescribe specific procedures and standards to be used by the Board when adopting time-limited water quality standards. The public notice and participation requirements in 40 CFR 25 and 40 CFR 131.20(b) shall be incorporated into the rules adopted under this subsection. Until the rules adopted under this subsection are effective, the Board may adopt time-limited water quality standards to the full extent allowed under this Section and 40 C.F.R. 131.14. (l) Section 5-35 of the Illinois Administrative Procedure Act, Title VII of this Act, and the other Sections in Title IX of this Act do not apply to Board proceedings under this Section.
(Source: P.A. 99-937, eff. 2-24-17.) |
(415 ILCS 5/Tit. X heading) TITLE X:
PERMITS
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(415 ILCS 5/39) (from Ch. 111 1/2, par. 1039)
Sec. 39. Issuance of permits; procedures.
(a) When the Board has by regulation required a permit for
the construction, installation, or operation of any type of facility,
equipment, vehicle, vessel, or aircraft, the applicant shall apply to
the Agency for such permit and it shall be the duty of the Agency to
issue such a permit upon proof by the applicant that the facility,
equipment, vehicle, vessel, or aircraft will not cause a violation of
this Act or of regulations hereunder. The Agency shall adopt such
procedures as are necessary to carry out its duties under this Section.
In making its determinations on permit applications under this Section the Agency may consider prior adjudications of
noncompliance with this Act by the applicant that involved a release of a
contaminant into the environment. In granting permits, the Agency
may impose reasonable conditions specifically related to the applicant's past
compliance history with this Act as necessary to correct, detect, or
prevent noncompliance. The Agency may impose such other conditions
as may be necessary to accomplish the purposes of this Act, and as are not
inconsistent with the regulations promulgated by the Board hereunder. Except as
otherwise provided in this Act, a bond or other security shall not be required
as a condition for the issuance of a permit. If the Agency denies any permit
under this Section, the Agency shall transmit to the applicant within the time
limitations of this Section specific, detailed statements as to the reasons the
permit application was denied. Such statements shall include, but not be
limited to, the following:
(i) the Sections of this Act which may be violated if | ||
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(ii) the provision of the regulations, promulgated | ||
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(iii) the specific type of information, if any, which | ||
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(iv) a statement of specific reasons why the Act and | ||
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If there is no final action by the Agency within 90 days after the
filing of the application for permit, the applicant may deem the permit
issued; except that this time period shall be extended to 180 days when
(1) notice and opportunity for public hearing are required by State or
federal law or regulation, (2) the application which was filed is for
any permit to develop a landfill subject to issuance pursuant to this
subsection, or (3) the application that was filed is for a MSWLF unit
required to issue public notice under subsection (p) of Section 39. The
90-day and 180-day time periods for the Agency to take final action do not
apply to NPDES permit applications under subsection (b) of this Section,
to RCRA permit applications under subsection (d) of this Section,
to UIC permit applications under subsection (e) of this Section, or to CCR surface impoundment applications under subsection (y) of this Section.
The Agency shall publish notice of all final permit determinations for
development permits for MSWLF units and for significant permit modifications
for lateral expansions for existing MSWLF units one time in a newspaper of
general circulation in the county in which the unit is or is proposed to be
located.
After January 1, 1994 and until July 1, 1998, operating permits issued under
this Section by the
Agency for sources of air pollution permitted to emit less than 25 tons
per year of any combination of regulated air pollutants, as defined in
Section 39.5 of this Act, shall be required to be renewed only upon written
request by the Agency consistent with applicable provisions of this Act and
regulations promulgated hereunder. Such operating permits shall expire
180 days after the date of such a request. The Board shall revise its
regulations for the existing State air pollution operating permit program
consistent with this provision by January 1, 1994.
After June 30, 1998, operating permits issued under this Section by the
Agency for sources of air pollution that are not subject to Section 39.5 of
this Act and are not required to have a federally enforceable State operating
permit shall be required to be renewed only upon written request by the Agency
consistent with applicable provisions of this Act and its rules. Such
operating permits shall expire 180 days after the date of such a request.
Before July 1, 1998, the Board shall revise its rules for the existing State
air pollution operating permit program consistent with this paragraph and shall
adopt rules that require a source to demonstrate that it qualifies for a permit
under this paragraph.
(b) The Agency may issue NPDES permits exclusively under this
subsection for the discharge of contaminants from point sources into
navigable waters, all as defined in the Federal Water Pollution Control
Act, as now or hereafter amended, within the jurisdiction of the
State, or into any well.
All NPDES permits shall contain those terms and conditions, including,
but not limited to, schedules of compliance, which may be required to
accomplish the purposes and provisions of this Act.
The Agency may issue general NPDES permits for discharges from categories
of point sources which are subject to the same permit limitations and
conditions. Such general permits may be issued without individual
applications and shall conform to regulations promulgated under Section 402
of the Federal Water Pollution Control Act, as now or hereafter amended.
The Agency may include, among such conditions, effluent limitations
and other requirements established under this Act, Board regulations,
the Federal Water Pollution Control Act, as now or hereafter amended, and
regulations pursuant thereto, and schedules for achieving compliance
therewith at the earliest reasonable date.
The Agency shall adopt filing requirements and procedures which are
necessary and appropriate for the issuance of NPDES permits, and which
are consistent with the Act or regulations adopted by the Board, and
with the Federal Water Pollution Control Act, as now or hereafter
amended, and regulations pursuant thereto.
The Agency, subject to any conditions which may be prescribed by
Board regulations, may issue NPDES permits to allow discharges beyond
deadlines established by this Act or by regulations of the Board without
the requirement of a variance, subject to the Federal Water Pollution
Control Act, as now or hereafter amended, and regulations pursuant thereto.
(c) Except for those facilities owned or operated by sanitary districts
organized under the Metropolitan Water Reclamation District Act, no
permit for the development or construction of a new pollution control
facility may be granted by the Agency unless the applicant submits proof to the
Agency that the location of the facility has been approved by the county board
of the county if in an unincorporated area, or the governing body of the
municipality when in an incorporated area, in which the facility is to be
located in accordance with Section 39.2 of this Act. For purposes of this subsection (c), and for purposes of Section 39.2 of this Act, the appropriate county board or governing body of the municipality shall be the county board of the county or the governing body of the municipality in which the facility is to be located as of the date when the application for siting approval is filed.
In the event that siting approval granted pursuant to Section 39.2 has
been transferred to a subsequent owner or operator, that subsequent owner or
operator may apply to the Agency for, and the Agency may grant, a development
or construction permit for the facility for which local siting approval was
granted. Upon application to the Agency for a development or
construction permit by that subsequent owner or operator,
the permit applicant shall cause written notice of the permit application
to be served upon the appropriate county board or governing body of the
municipality that granted siting approval for that facility and upon any party
to the siting proceeding pursuant to which siting approval was granted. In
that event, the Agency shall conduct an evaluation of the subsequent owner or
operator's prior experience in waste management operations in the manner
conducted under subsection (i) of Section 39 of this Act.
Beginning August 20, 1993, if the pollution control facility consists of a
hazardous or solid waste disposal facility for which the proposed site is
located in an unincorporated area of a county with a population of less than
100,000 and includes all or a portion of a parcel of land that was, on April 1,
1993, adjacent to a municipality having a population of less than 5,000, then
the local siting review required under this subsection (c) in conjunction with
any permit applied for after that date shall be performed by the governing body
of that adjacent municipality rather than the county board of the county in
which the proposed site is located; and for the purposes of that local siting
review, any references in this Act to the county board shall be deemed to mean
the governing body of that adjacent municipality; provided, however, that the
provisions of this paragraph shall not apply to any proposed site which was, on
April 1, 1993, owned in whole or in part by another municipality.
In the case of a pollution control facility for which a
development permit was issued before November 12, 1981, if an operating
permit has not been issued by the Agency prior to August 31, 1989 for
any portion of the facility, then the Agency may not issue or renew any
development permit nor issue an original operating permit for any portion of
such facility unless the applicant has submitted proof to the Agency that the
location of the facility has been approved by the appropriate county board or
municipal governing body pursuant to Section 39.2 of this Act.
After January 1, 1994, if a solid waste
disposal facility, any portion for which an operating permit has been issued by
the Agency, has not accepted waste disposal for 5 or more consecutive calendar
years, before that facility may accept any new or additional waste for
disposal, the owner and operator must obtain a new operating permit under this
Act for that facility unless the owner and operator have applied to the Agency
for a permit authorizing the temporary suspension of waste acceptance. The
Agency may not issue a new operation permit under this Act for the facility
unless the applicant has submitted proof to the Agency that the location of the
facility has been approved or re-approved by the appropriate county board or
municipal governing body under Section 39.2 of this Act after the facility
ceased accepting waste.
Except for those facilities owned or operated by sanitary districts
organized under the Metropolitan Water Reclamation District Act, and
except for new pollution control facilities governed by Section 39.2,
and except for fossil fuel mining facilities, the granting of a permit under
this Act shall not relieve the applicant from meeting and securing all
necessary zoning approvals from the unit of government having zoning
jurisdiction over the proposed facility.
Before beginning construction on any new sewage treatment plant or sludge
drying site to be owned or operated by a sanitary district organized under
the Metropolitan Water Reclamation District Act for which a new
permit (rather than the renewal or amendment of an existing permit) is
required, such sanitary district shall hold a public hearing within the
municipality within which the proposed facility is to be located, or within the
nearest community if the proposed facility is to be located within an
unincorporated area, at which information concerning the proposed facility
shall be made available to the public, and members of the public shall be given
the opportunity to express their views concerning the proposed facility.
The Agency may issue a permit for a municipal waste transfer station
without requiring approval pursuant to Section 39.2 provided that the following
demonstration is made:
(1) the municipal waste transfer station was in | ||
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(2) the operator submitted a permit application to | ||
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(3) the operator can demonstrate that the county | ||
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(4) the site has local zoning approval.
(d) The Agency may issue RCRA permits exclusively under this
subsection to persons owning or operating a facility for the treatment,
storage, or disposal of hazardous waste as defined under this Act. Subsection (y) of this Section, rather than this subsection (d), shall apply to permits issued for CCR surface impoundments.
All RCRA permits shall contain those terms and conditions, including, but
not limited to, schedules of compliance, which may be required to accomplish
the purposes and provisions of this Act. The Agency may include among such
conditions standards and other requirements established under this Act,
Board regulations, the Resource Conservation and Recovery Act of 1976 (P.L.
94-580), as amended, and regulations pursuant thereto, and may include
schedules for achieving compliance therewith as soon as possible. The
Agency shall require that a performance bond or other security be provided
as a condition for the issuance of a RCRA permit.
In the case of a permit to operate a hazardous waste or PCB incinerator
as defined in subsection (k) of Section 44, the Agency shall require, as a
condition of the permit, that the operator of the facility perform such
analyses of the waste to be incinerated as may be necessary and appropriate
to ensure the safe operation of the incinerator.
The Agency shall adopt filing requirements and procedures which
are necessary and appropriate for the issuance of RCRA permits, and which
are consistent with the Act or regulations adopted by the Board, and with
the Resource Conservation and Recovery Act of 1976 (P.L. 94-580), as
amended, and regulations pursuant thereto.
The applicant shall make available to the public for inspection all
documents submitted by the applicant to the Agency in furtherance
of an application, with the exception of trade secrets, at the office of
the county board or governing body of the municipality. Such documents
may be copied upon payment of the actual cost of reproduction during regular
business hours of the local office. The Agency shall issue a written statement
concurrent with its grant or denial of the permit explaining the basis for its
decision.
(e) The Agency may issue UIC permits exclusively under this
subsection to persons owning or operating a facility for the underground
injection of contaminants as defined under this Act.
All UIC permits shall contain those terms and conditions, including, but
not limited to, schedules of compliance, which may be required to accomplish
the purposes and provisions of this Act. The Agency may include among such
conditions standards and other requirements established under this Act,
Board regulations, the Safe Drinking Water Act (P.L. 93-523), as amended,
and regulations pursuant thereto, and may include schedules for achieving
compliance therewith. The Agency shall require that a performance bond or
other security be provided as a condition for the issuance of a UIC permit.
The Agency shall adopt filing requirements and procedures which
are necessary and appropriate for the issuance of UIC permits, and which
are consistent with the Act or regulations adopted by the Board, and with
the Safe Drinking Water Act (P.L. 93-523), as amended, and regulations
pursuant thereto.
The applicant shall make available to the public for inspection all
documents submitted by the applicant to the Agency in furtherance of an
application, with the exception of trade secrets, at the office of the county
board or governing body of the municipality. Such documents may be copied upon
payment of the actual cost of reproduction during regular business hours of the
local office. The Agency shall issue a written statement concurrent with its
grant or denial of the permit explaining the basis for its decision.
(f) In making any determination pursuant to Section 9.1 of this Act:
(1) The Agency shall have authority to make the | ||
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(2) The Agency shall adopt requirements as necessary | ||
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(3) Any complete permit application submitted to the | ||
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(4) The Agency shall, after conferring with the | ||
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(g) The Agency shall include as conditions upon all permits issued for
hazardous waste disposal sites such restrictions upon the future use
of such sites as are reasonably necessary to protect public health and
the environment, including permanent prohibition of the use of such
sites for purposes which may create an unreasonable risk of injury to human
health or to the environment. After administrative and judicial challenges
to such restrictions have been exhausted, the Agency shall file such
restrictions of record in the Office of the Recorder of the county in which
the hazardous waste disposal site is located.
(h) A hazardous waste stream may not be deposited in a permitted hazardous
waste site unless specific authorization is obtained from the Agency by the
generator and disposal site owner and operator for the deposit of that specific
hazardous waste stream. The Agency may grant specific authorization for
disposal of hazardous waste streams only after the generator has reasonably
demonstrated that, considering
technological feasibility and economic reasonableness, the hazardous waste
cannot be reasonably recycled for reuse, nor incinerated or chemically,
physically, or biologically treated so as to neutralize the hazardous waste
and render it nonhazardous. In granting authorization under this Section,
the Agency may impose such conditions as may be necessary to accomplish
the purposes of the Act and are consistent with this Act and regulations
promulgated by the Board hereunder. If the Agency refuses to grant
authorization under this Section, the applicant may appeal as if the Agency
refused to grant a permit, pursuant to the provisions of subsection (a) of
Section 40 of this Act. For purposes of this subsection (h), the term
"generator" has the meaning given in Section 3.205 of this Act,
unless: (1) the hazardous waste is treated, incinerated, or partially recycled
for reuse prior to disposal, in which case the last person who treats,
incinerates, or partially recycles the hazardous waste prior to disposal is the
generator; or (2) the hazardous waste is from a response action, in which case
the person performing the response action is the generator. This subsection
(h) does not apply to any hazardous waste that is restricted from land disposal
under 35 Ill. Adm. Code 728.
(i) Before issuing any RCRA permit, any permit for a waste storage site,
sanitary landfill, waste disposal site, waste transfer station, waste treatment
facility, waste incinerator, or any waste-transportation operation, any permit or interim authorization for a clean construction or demolition debris fill operation, or any permit required under subsection (d-5) of Section 55, the Agency
shall conduct an evaluation of the prospective owner's or operator's prior
experience in waste management operations, clean construction or demolition debris fill operations, and tire storage site management. The Agency may deny such a permit, or deny or revoke interim authorization,
if the prospective owner or operator or any employee or officer of the
prospective owner or operator has a history of:
(1) repeated violations of federal, State, or local | ||
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(2) conviction in this or another State of any crime | ||
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(3) proof of gross carelessness or incompetence in | ||
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(i-5) Before issuing any permit or approving any interim authorization for a clean construction or demolition debris fill operation in which any ownership interest is transferred between January 1, 2005, and the effective date of the prohibition set forth in Section 22.52 of this Act, the Agency shall conduct an evaluation of the operation if any previous activities at the site or facility may have caused or allowed contamination of the site. It shall be the responsibility of the owner or operator seeking the permit or interim authorization to provide to the Agency all of the information necessary for the Agency to conduct its evaluation. The Agency may deny a permit or interim authorization if previous activities at the site may have caused or allowed contamination at the site, unless such contamination is authorized under any permit issued by the Agency.
(j) The issuance under this Act of a permit to engage in the surface mining
of any resources other than fossil fuels shall not relieve
the permittee from its duty to comply with any applicable local law regulating
the commencement, location, or operation of surface mining facilities.
(k) A development permit issued under subsection (a) of Section 39 for any
facility or site which is required to have a permit under subsection (d) of
Section 21 shall expire at the end of 2 calendar years from the date upon which
it was issued, unless within that period the applicant has taken action to
develop the facility or the site. In the event that review of the
conditions of the development permit is sought pursuant to Section 40 or
41, or permittee is prevented from commencing development of the facility
or site by any other litigation beyond the permittee's control, such
two-year period shall be deemed to begin on the date upon which such review
process or litigation is concluded.
(l) No permit shall be issued by the Agency under this Act for
construction or operation of any facility or site located within the
boundaries of any setback zone established pursuant to this Act, where such
construction or operation is prohibited.
(m) The Agency may issue permits to persons owning or operating
a facility for composting landscape waste. In granting such permits, the Agency
may impose such conditions as may be necessary to accomplish the purposes of
this Act, and as are not inconsistent with applicable regulations promulgated
by the Board. Except as otherwise provided in this Act, a bond or other
security shall not be required as a condition for the issuance of a permit. If
the Agency denies any permit pursuant to this subsection, the Agency shall
transmit to the applicant within the time limitations of this subsection
specific, detailed statements as to the reasons the permit application was
denied. Such statements shall include but not be limited to the following:
(1) the Sections of this Act that may be violated if | ||
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(2) the specific regulations promulgated pursuant to | ||
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(3) the specific information, if any, the Agency | ||
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(4) a statement of specific reasons why the Act and | ||
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If no final action is taken by the Agency within 90 days after the filing
of the application for permit, the applicant may deem the permit issued.
Any applicant for a permit may waive the 90-day limitation by filing a
written statement with the Agency.
The Agency shall issue permits for such facilities upon receipt of an
application that includes a legal description of the site, a topographic
map of the site drawn to the scale of 200 feet to the inch or larger, a
description of the operation, including the area served, an estimate of
the volume of materials to be processed, and documentation that:
(1) the facility includes a setback of at least 200 | ||
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(2) the facility is located outside the boundary of | ||
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(3) the facility is located so as to minimize | ||
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(4) the design of the facility will prevent any | ||
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(5) the operation of the facility will include | ||
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(6) the operation will be conducted in accordance | ||
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The Agency shall issue renewable permits of not longer than 10 years
in duration for the composting of landscape wastes, as defined in Section
3.155 of this Act, based on the above requirements.
The operator of any facility permitted under this subsection (m) must
submit a written annual statement to the Agency on or before April 1 of
each year that includes an estimate of the amount of material, in tons,
received for composting.
(n) The Agency shall issue permits jointly with the Department of
Transportation for the dredging or deposit of material in Lake Michigan in
accordance with Section 18 of the Rivers, Lakes, and Streams Act.
(o) (Blank).
(p) (1) Any person submitting an application for a permit for a new MSWLF
unit or for a lateral expansion under subsection (t) of Section 21 of this Act
for an existing MSWLF unit that has not received and is not subject to local
siting approval under Section 39.2 of this Act shall publish notice of the
application in a newspaper of general circulation in the county in which the
MSWLF unit is or is proposed to be located. The notice must be published at
least 15 days before submission of the permit application to the Agency. The
notice shall state the name and address of the applicant, the location of the
MSWLF unit or proposed MSWLF unit, the nature and size of the MSWLF unit or
proposed MSWLF unit, the nature of the activity proposed, the probable life of
the proposed activity, the date the permit application will be submitted, and a
statement that persons may file written comments with the Agency concerning the
permit application within 30 days after the filing of the permit application
unless the time period to submit comments is extended by the Agency.
When a permit applicant submits information to the Agency to supplement a
permit application being reviewed by the Agency, the applicant shall not be
required to reissue the notice under this subsection.
(2) The Agency shall accept written comments concerning the permit
application that are postmarked no later than 30 days after the
filing of the permit application, unless the time period to accept comments is
extended by the Agency.
(3) Each applicant for a permit described in part (1) of this subsection
shall file a
copy of the permit application with the county board or governing body of the
municipality in which the MSWLF unit is or is proposed to be located at the
same time the application is submitted to the Agency. The permit application
filed with the county board or governing body of the municipality shall include
all documents submitted to or to be submitted to the Agency, except trade
secrets as determined under Section 7.1 of this Act. The permit application
and other documents on file with the county board or governing body of the
municipality shall be made available for public inspection during regular
business hours at the office of the county board or the governing body of the
municipality and may be copied upon payment of the actual cost of
reproduction.
(q) Within 6 months after July 12, 2011 (the effective date of Public Act 97-95), the Agency, in consultation with the regulated community, shall develop a web portal to be posted on its website for the purpose of enhancing review and promoting timely issuance of permits required by this Act. At a minimum, the Agency shall make the following information available on the web portal: (1) Checklists and guidance relating to the | ||
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(2) Within 2 years after July 12, 2011 (the | ||
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(3) Within 2 years after July 12, 2011 (the | ||
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(A) the number of applications received for each | ||
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(B) for those applications where the Agency has | ||
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(r) Upon the request of the applicant, the Agency shall notify the applicant of the permit analyst assigned to the application upon its receipt. (s) The Agency is authorized to prepare and distribute guidance documents relating to its administration of this Section and procedural rules implementing this Section. Guidance documents prepared under this subsection shall not be considered rules and shall not be subject to the Illinois Administrative Procedure Act. Such guidance shall not be binding on any party. (t) Except as otherwise prohibited by federal law or regulation, any person submitting an application for a permit may include with the application suggested permit language for Agency consideration. The Agency is not obligated to use the suggested language or any portion thereof in its permitting decision. If requested by the permit applicant, the Agency shall meet with the applicant to discuss the suggested language. (u) If requested by the permit applicant, the Agency shall provide the permit applicant with a copy of the draft permit prior to any public review period. (v) If requested by the permit applicant, the Agency shall provide the permit applicant with a copy of the final permit prior to its issuance. (w) An air pollution permit shall not be required due to emissions of greenhouse gases, as specified by Section 9.15 of this Act. (x) If, before the expiration of a State operating permit that is issued pursuant to subsection (a) of this Section and contains federally enforceable conditions limiting the potential to emit of the source to a level below the major source threshold for that source so as to exclude the source from the Clean Air Act Permit Program, the Agency receives a complete application for the renewal of that permit, then all of the terms and conditions of the permit shall remain in effect until final administrative action has been taken on the application for the renewal of the permit. (y) The Agency may issue permits exclusively under this subsection to persons owning or operating a CCR surface impoundment subject to Section 22.59. (z) If a mass animal mortality event is declared by the Department of Agriculture in accordance with the Animal Mortality Act: (1) the owner or operator responsible for the | ||
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(i) obtaining a permit for the construction, | ||
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(ii) obtaining a permit for open burning in | ||
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(iii) registering the disposal of dead animals as | ||
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(2) as applicable, the owner or operator responsible | ||
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(i) an NPDES permit in accordance with subsection | ||
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(ii) a PSD permit or an NA NSR permit in | ||
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(iii) a lifetime State operating permit or a | ||
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(iv) a CAAPP permit, in accordance with Section | ||
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All CCR surface impoundment permits shall contain those terms and conditions, including, but not limited to, schedules of compliance, which may be required to accomplish the purposes and provisions of this Act, Board regulations, the Illinois Groundwater Protection Act and regulations pursuant thereto, and the Resource Conservation and Recovery Act and regulations pursuant thereto, and may include schedules for achieving compliance therewith as soon as possible. The Board shall adopt filing requirements and procedures that are necessary and appropriate for the issuance of CCR surface impoundment permits and that are consistent with this Act or regulations adopted by the Board, and with the RCRA, as amended, and regulations pursuant thereto. The applicant shall make available to the public for inspection all documents submitted by the applicant to the Agency in furtherance of an application, with the exception of trade secrets, on its public internet website as well as at the office of the county board or governing body of the municipality where CCR from the CCR surface impoundment will be permanently disposed. Such documents may be copied upon payment of the actual cost of reproduction during regular business hours of the local office. The Agency shall issue a written statement concurrent with its grant or denial of the permit explaining the basis for its decision. (Source: P.A. 101-171, eff. 7-30-19; 102-216, eff. 1-1-22; 102-558, eff. 8-20-21; 102-813, eff. 5-13-22.)
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(415 ILCS 5/39.1) (from Ch. 111 1/2, par. 1039.1)
Sec. 39.1.
(a) In addition to such other procedures as may be available,
owners or operators of emission sources individually or collectively, may
apply for and obtain from the Agency permits under this Section authorizing
the construction and operation, or both, of a source or sources by use of
emission control strategies alternative but environmentally equivalent to
emission limitations required of such sources by Board regulations or by
the terms of this Act.
The Agency shall issue such a permit or permits upon a finding that: 1)
the alternative control strategy in the permit provides for attainment in
the aggregate, with respect to each regulated contaminant, of equivalent
or less total emissions than would otherwise be required by Board regulations
for the sources subject to such permit; and 2) that air quality will otherwise
be maintained consistent with Board regulations.
(b) The Agency shall receive and process applications pursuant to subsection
(a) of Section 39. The Agency may impose such permit conditions as are
necessary and reasonable to assure enforceability of the permit and continuing
compliance of the subject sources in the event of a change in
ownership or operation of the subject sources.
(c) At least 30 days prior to the issuance of such a permit, the Agency
shall give notice of the receipt of the permit application and the Agency's
proposed decision in a newspaper of general circulation in the county or
counties where any source to be covered by such permit is located and shall
make all documents in its record available for public inspection in accordance
with and to the extent provided by Sections 7 and 7.1. The Agency shall
give such further notice and opportunity for public comment, if any, as
is required by the Clean Air Act, for the specific permit application.
(d) The Agency shall, after conferring with the applicant, give detailed
written notice to the applicant of the Agency's proposed decision on the
application, including the terms and conditions of the permit to be issued
and the facts, legal citation, conduct or other basis upon which the Agency
will rely to support its proposed action. Following such notice, the Agency
shall give the applicant a reasonable opportunity for a hearing in accordance
with procedures adopted by the Agency.
(e) The Agency shall act promptly upon permit applications pursuant to
this Section. If the Agency fails to take final action within 180 days
of receipt of a complete application, or if the application was amended,
within 180 days of receipt of the last amended application, the applicant may
deem the application approved as applied for or, if amended, as last amended.
(f) At the request of the applicant, permits approved pursuant to this
Section shall be submitted by the Agency to the U.S. Environmental Protection
Agency as revisions to the State Implementation Plan required by Section
110 of the Clean Air Act if and when necessary to comply with the Clean
Air Act. The permit applicant shall be responsible for providing any
information required by the U.S. Environmental Protection Agency to justify
federal approval of a State Implementation Plan, except the Agency shall be
responsible for provision of information acquired during its review and for
provision of any record of the public hearing when applicable.
(g) Disapproval of a permit or approval thereof with conditions shall
be subject to review by the Board pursuant to subsection (a) of Section
40, upon timely petition of the applicant.
(h) Except as expressly required by Section 9.3 (c), economic impact
analysis, including the study of economic impact provided for in Section
27, shall not be required with respect to action under this Section, nor
shall any source issued a permit hereunder be subject to the emission
limitations of Board regulations, other than the limitations contained in
the permit issued for such source hereunder.
(Source: P.A. 82-540.)
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(415 ILCS 5/39.2) (from Ch. 111 1/2, par. 1039.2)
Sec. 39.2. Local siting review.
(a) The county board of the county or the governing body of the
municipality, as determined by paragraph (c) of Section 39 of this Act, shall
approve or disapprove the request for local siting approval for each pollution
control facility which is subject to such review. An applicant for local
siting approval shall submit sufficient details describing the proposed
facility and evidence to demonstrate compliance, and local siting approval shall be granted
only if the proposed facility meets the following criteria:
(i) the facility is necessary to accommodate the | ||
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(ii) the facility is so designed, located and | ||
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(iii) the facility is located so as to minimize | ||
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(iv) (A) for a facility other than a sanitary | ||
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(v) the plan of operations for the facility is | ||
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(vi) the traffic patterns to or from the facility are | ||
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(vii) if the facility will be treating, storing or | ||
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(viii) if the facility is to be located in a county | ||
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(ix) if the facility will be located within a | ||
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The county board or the governing body of the municipality may also
consider as evidence the previous operating experience and past record of
convictions or admissions of violations of the applicant (and any subsidiary
or parent corporation) in the field of solid waste management when
considering criteria (ii) and (v) under this Section. If the facility is subject to the location restrictions in Section 22.14 of this Act, compliance with that Section shall be determined as of the date the application for siting approval is filed.
(b) No later than 14 days before the date on which the county board or
governing body of the municipality receives a request for
site approval, the applicant shall cause written notice
of such request to be served either in person or by registered mail, return
receipt requested, on the owners of all property within the subject area not
solely owned by the applicant, and on the owners of all property within 250
feet in each direction of the lot line of the subject property, said owners
being such persons or entities which appear from the authentic tax records of
the County in which such facility is to be located; provided, that the number
of all feet occupied by all public roads, streets, alleys and other public ways
shall be excluded in computing the 250 feet requirement; provided further, that
in no event shall this requirement exceed 400 feet, including public streets,
alleys and other public ways.
Such written notice shall also be served upon members of the General Assembly
from the legislative district in which the proposed facility is located
and shall be published in a newspaper of general circulation published in
the county in which the site is located.
Such notice shall state the name and address of the applicant, the location
of the proposed site, the nature and size of the development, the nature of the
activity proposed, the probable life of the proposed activity, the date when
the request for site approval will be submitted, and a description of the right
of persons to comment on such request as hereafter provided.
(c) An applicant shall file a copy of its request with the county board
of the county or the governing body of the municipality in which the proposed
site is located. The request shall include (i) the substance of the
applicant's proposal and (ii) all documents, if any, submitted as of that date
to the Agency pertaining to the proposed facility, except trade secrets as
determined under Section 7.1 of this Act. All such documents or other
materials on file with the county board or governing body of the municipality
shall be made available for public inspection at the office of the county board
or the governing body of the municipality and may be copied upon payment of the
actual cost of reproduction.
Any person may file written comment with the county board or governing
body of the municipality concerning the appropriateness of the proposed
site for its intended purpose. The county board or governing body of the
municipality shall consider any comment received or postmarked not later
than 30 days after the date of the last public hearing.
(d) At least one public hearing, at which an applicant shall present at least one witness to testify subject to cross-examination, is to be held by the county board or
governing body of the municipality no sooner than 90 days but no later than
120 days after the date on which it received the
request for site approval. No later than 14 days prior to such hearing,
notice shall be published in a newspaper of general circulation published in
the county of the proposed site, and delivered by certified mail to all members
of the General Assembly from the district in which the proposed site is
located, to the governing authority of every municipality contiguous to the
proposed site or contiguous to the municipality in which the proposed site is
to be located, to the county board of the county where the proposed site is to
be located, if the proposed site is located within the boundaries of a
municipality, and to the Agency. Members or representatives of the governing
authority of a municipality contiguous to the proposed site or contiguous to
the municipality in which the proposed site is to be located and, if the
proposed site is located in a municipality, members or representatives of the
county board of a county in which the proposed site is to be located may appear
at and participate in public hearings held pursuant to this Section. The
public hearing shall develop a record sufficient to form the basis of appeal
of the decision in accordance with Section 40.1 of this Act. The fact that a
member of the county board or governing body of the municipality has publicly
expressed an opinion on an issue related to a site review proceeding shall not
preclude the member from taking part in the proceeding and voting on the issue.
(e) Decisions of the county board or governing body of the municipality
are to be in writing, confirming a public hearing was held with testimony from at least one witness presented by the applicant, specifying the reasons for the decision, such reasons
to be in conformance with subsection (a) of this Section. In granting approval
for a site the county board or governing body of the municipality may impose
such conditions as may be reasonable and necessary to accomplish the purposes
of this Section and as are not inconsistent with regulations promulgated
by the Board. Such decision shall be available for public inspection at
the office of the county board or governing body of the municipality and
may be copied upon payment of the actual cost of reproduction. If there is
no final action by the county board or governing body of the municipality
within 180 days after the date on which it received the
request for site approval, the applicant may deem the request approved.
At the public hearing, at any time prior to completion by the applicant of the presentation of
the applicant's factual evidence, testimony, and an opportunity for cross-examination
by the county board or governing body of the municipality and any participants,
the applicant may file not more than one amended application upon payment
of additional fees pursuant to subsection (k); in which case the time
limitation for final action set forth in this subsection (e) shall
be extended for an additional period of 90 days.
If, prior to making a final local siting decision, a county board or
governing body of a municipality has negotiated and entered into a host
agreement with the local siting applicant, the terms and conditions of
the host agreement, whether written or oral, shall be disclosed and made
a part of the hearing record for that local siting proceeding.
In the case of an oral agreement, the disclosure shall be made in the form
of a written summary jointly prepared and submitted by the county board or
governing body of the municipality and the siting applicant and shall describe
the terms and conditions of the oral agreement.
(e-5) Siting approval obtained pursuant to this Section is transferable
and may be transferred to a subsequent owner or operator. In the event that
siting approval has been transferred to a subsequent owner or operator, that
subsequent owner or operator assumes and takes subject to any and all
conditions imposed upon the prior owner or operator by the county board of
the county or governing body of the municipality pursuant to subsection (e).
However, any such conditions imposed pursuant to this Section may be modified
by agreement between the subsequent owner or operator and the appropriate
county board or governing body. Further, in the event that siting approval
obtained pursuant to this Section has been transferred to a subsequent owner or
operator, that subsequent owner or operator assumes all rights and obligations
and takes the facility subject to any and all terms and conditions of any
existing host agreement between the prior owner or operator and the appropriate
county board or governing body.
(f) A local siting approval granted under this Section shall expire at
the end of 2 calendar years from the date upon which it was granted, unless
the local siting approval granted under this Section is for a sanitary landfill
operation, in which case the approval shall expire at the end of 3 calendar
years from the date upon which it was granted, and unless within that period
the applicant has made application to the Agency for a
permit to develop the site. In the event that the local siting decision has
been appealed, such expiration period shall be deemed to begin on the date
upon which the appeal process is concluded.
Except as otherwise provided in this subsection, upon the expiration
of a development permit under subsection (k) of Section 39, any associated
local siting approval granted for the facility under this Section shall also
expire.
If a first development permit for a municipal waste incineration
facility expires under subsection (k) of Section 39 after September 30,
1989 due to circumstances beyond the control of the applicant, any
associated local siting approval granted for the facility under this
Section may be used to fulfill the local siting approval requirement upon
application for a second development permit for the same site, provided
that the proposal in the new application is materially the same, with respect
to the criteria in subsection (a) of this Section, as the proposal that
received the original siting approval, and application for the second
development permit is made before January 1, 1990.
(g) The siting approval procedures, criteria and appeal procedures
provided for in this Act for new pollution control facilities
shall be the exclusive siting procedures and rules and appeal procedures
for facilities subject to such procedures. Local zoning or other local land
use requirements shall not be applicable to such siting decisions.
(h) Nothing in this Section shall apply to any existing or new
pollution control facility located within the corporate limits of
a municipality with a population of over 1,000,000.
(i) (Blank.)
The Board shall adopt regulations establishing the geologic and
hydrologic siting criteria necessary to protect usable groundwater
resources which are to be followed by the Agency in its review of permit
applications for new pollution control facilities. Such
regulations, insofar as they apply to new pollution control
facilities authorized to store, treat or dispose of any hazardous waste,
shall be at least as stringent as the requirements of the Resource
Conservation and Recovery Act and any State or federal regulations adopted
pursuant thereto.
(j) Any new pollution control facility which has never obtained local
siting approval under the provisions of this Section shall be required to
obtain such approval after a final decision on an appeal of a permit denial.
(k) A county board or governing body of a municipality may charge
applicants for siting review under this Section a reasonable fee to cover
the reasonable and necessary costs incurred by such county or municipality
in the siting review process.
(l) The governing Authority as determined by subsection (c) of Section
39 of this Act may request the Department of Transportation to perform
traffic impact studies of proposed or potential locations for required
pollution control facilities.
(m) An applicant may not file a request for local siting approval which is
substantially the same as a request which was disapproved pursuant to a
finding against the applicant under any of criteria (i) through (ix) of
subsection (a) of this Section within the preceding 2 years.
(n) In any review proceeding of a decision of the county board or
governing body of a municipality made pursuant to the local
siting review process, the petitioner in the review proceeding shall pay to
the county or municipality the cost of preparing and certifying the record
of proceedings. Should the petitioner in the review proceeding fail to make
payment, the provisions of Section 3-109 of the Code of Civil
Procedure shall apply.
In the event the petitioner is a citizens' group that participated in the
siting proceeding and is so located as to be affected by the proposed
facility, such petitioner shall be exempt from paying the costs of
preparing and certifying the record.
(o) Notwithstanding any other provision of this Section, a transfer
station used exclusively for landscape waste, where landscape waste is held
no longer than 24 hours from the time it was received, is not subject to the
requirements of local siting approval under this Section, but is subject only
to local zoning approval.
(Source: P.A. 100-382, eff. 8-25-17.)
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(415 ILCS 5/39.3) (from Ch. 111 1/2, par. 1039.3)
Sec. 39.3.
Hazardous waste facilities.
(a) The provisions of this Section apply to any application for a
permit under the Solid Waste Rules of the Board's Rules and Regulations
to develop a new pollution control facility for the disposal of
hazardous waste, and to any application to modify the development of an
existing site or facility which would allow the disposal of hazardous waste
for the first time. The requirements of this Section are in addition to
any other procedures as may be required by law.
(b) Any application for a permit under this Section shall be made to
the Agency, and shall be accompanied by proof that notice of the application
has been served upon the Attorney General, the State's Attorney and the
Chairman of the County Board of the county in which the facility is proposed
to be located, each member of the General Assembly from the legislative
district in which the facility is proposed to be located, and the clerk
of each municipality, any portion of which is within three miles of the
boundary of the facility. Upon the request of any person upon whom notice
is required to be served, the applicant shall promptly furnish a copy of
the application to the person making the request.
(c) (i) Not more than 90 days after receipt of a complete application
for a permit under this Section, the Agency shall give public notice of
its preliminary determination to either issue or deny the permit, and shall
give notice of the opportunity for a public hearing on that preliminary
determination under this Section. Upon the request of the permit applicant,
or of any other person who is admitted as a party pursuant to subsection
(d), the Agency shall schedule a public hearing pursuant to subsection (e).
(ii) The Agency notice shall be published in a newspaper of general
circulation in the county in which the site is proposed to be located, and
shall be served upon the Attorney General, the State's Attorney and the
Chairman of the County Board of the county in which the facility is proposed
to be located, each member of the General Assembly from the legislative
district in which the facility is proposed to be located, and the clerk
of each municipality, any portion of which is within three miles of the
boundary of the facility.
(iii) The contents, form, and manner of service of the Agency notice
shall conform to the requirements of Section 10-25 of the
Illinois Administrative Procedure Act.
(d) Within 60 days after the date of the Agency notice required by
subsection (c) of this Section, any person who may be adversely affected
by an Agency decision on the permit application may petition the Agency
to intervene before the Agency as a party. The petition to intervene shall
contain a short and plain statement identifying the petitioner and stating
the petitioner's interest. The petitioner shall serve the petition upon
the applicant for the permit and upon any other persons who have petitioned
to intervene. Unless the Agency determines that the petition is
duplicative or frivolous, it shall admit the petitioner
as a party.
(e) (i) Not less than 60 days nor more than 180 days
after the date of the Agency notice required by subsection (c) of this Section,
the Agency shall commence the public hearing required by this Section.
(ii) The public hearing and other proceedings required by this Section
shall be conducted in accordance with the provisions concerning contested
cases of the Illinois Administrative Procedure Act.
(iii) The public hearing required by this Section may, with the concurrence
of the Agency, the permit applicant and the County Board of the county or
the governing body of the municipality, be conducted jointly with the public
hearing required by Section 39.2 of this Act.
(iv) All documents submitted to the Agency in connection with the
public hearing shall be reproduced and filed at the office of the county
board or governing body of the municipality and may be copied upon payment of
the actual cost of reproduction.
(f) Within sixty days of the completion of the public hearing required
by this Section the Agency shall render a final decision either granting
or denying the permit.
(g) The Agency shall adopt such procedural rules as may be necessary
and appropriate to carry out its duties under this Section which are not
inconsistent with the requirements of this Section. In adopting such
procedural rules the Agency shall follow the requirements concerning
rulemaking of the Illinois Administrative Procedure Act.
(h) This Section shall not apply to permits issued by the Agency pursuant
to authority delegated from the United States pursuant to the Resource
Conservation and Recovery Act of 1976, P.L. 94-580, as amended, or the Safe
Drinking Water Act, P.L. 93-523, as amended.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/39.4) (from Ch. 111 1/2, par. 1039.4)
Sec. 39.4.
(a) Upon receipt of a joint application transmitted from
the Department of Agriculture for an agrichemical facility construction or
operation permit or a lawncare containment permit, the Agency may provide a
written endorsement of the permit to be issued by the Department for such
agrichemical facility or lawncare wash water containment area. The Agency's
endorsement may be provided at any time prior to final action by the Department
regarding the subject permit.
(b) For all purposes of this Act, an agrichemical facility permit
or lawncare containment permit endorsed by the Agency pursuant to this Section
shall be deemed to be a permit issued by the Agency pursuant to subsection (b)
of Section 9 and subsection (b) of Section 12 of this Act. An agrichemical
facility or a lawncare wash water containment area remains subject to all
applicable permit requirements under this Act if the Department of
Agriculture's agrichemical facility permit or lawncare containment permit has
not been endorsed pursuant to subsection (a) of this Section.
(c) An agrichemical facility permit or a lawncare containment permit
endorsed by the Agency shall not be subject to the annual fee provisions of
Section 9.6 of this Act.
(Source: P.A. 88-474.)
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(415 ILCS 5/39.5) (from Ch. 111 1/2, par. 1039.5) Sec. 39.5. Clean Air Act Permit Program. 1. Definitions. For purposes of this Section: "Administrative permit amendment" means a permit revision subject to subsection 13 of this Section. "Affected source for acid deposition" means a source that includes one or more affected units under Title IV of the Clean Air Act. "Affected States" for purposes of formal distribution of a draft CAAPP permit to other States for comments prior to issuance, means all States: (1) Whose air quality may be affected by the source | ||
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(2) That are within 50 miles of the source. "Affected unit for acid deposition" shall have the meaning given to the term "affected unit" in the regulations promulgated under Title IV of the Clean Air Act. "Applicable Clean Air Act requirement" means all of the following as they apply to emissions units in a source (including regulations that have been promulgated or approved by USEPA pursuant to the Clean Air Act which directly impose requirements upon a source and other such federal requirements which have been adopted by the Board. These may include requirements and regulations which have future effective compliance dates. Requirements and regulations will be exempt if USEPA determines that such requirements need not be contained in a Title V permit): (1) Any standard or other requirement provided for in | ||
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(2)(i) Any term or condition of any preconstruction | ||
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(ii) Any term or condition as required pursuant | ||
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(3) Any standard or other requirement under Section | ||
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(4) Any standard or other requirement under Section | ||
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(5) Any standard or other requirement of the acid | ||
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(6) Any requirements established pursuant to Section | ||
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(7) Any standard or other requirement governing solid | ||
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(8) Any standard or other requirement for consumer | ||
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(9) Any standard or other requirement for tank | ||
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(10) Any standard or other requirement of the program | ||
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(11) Any standard or other requirement of the | ||
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(12) Any national ambient air quality standard or | ||
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"Applicable requirement" means all applicable Clean Air Act requirements and any other standard, limitation, or other requirement contained in this Act or regulations promulgated under this Act as applicable to sources of air contaminants (including requirements that have future effective compliance dates). "CAAPP" means the Clean Air Act Permit Program, developed pursuant to Title V of the Clean Air Act. "CAAPP application" means an application for a CAAPP permit. "CAAPP Permit" or "permit" (unless the context suggests otherwise) means any permit issued, renewed, amended, modified or revised pursuant to Title V of the Clean Air Act. "CAAPP source" means any source for which the owner or operator is required to obtain a CAAPP permit pursuant to subsection 2 of this Section. "Clean Air Act" means the Clean Air Act, as now and hereafter amended, 42 U.S.C. 7401, et seq. "Designated representative" has the meaning given to it in Section 402(26) of the Clean Air Act and the regulations promulgated thereunder, which state that the term "designated representative" means a responsible person or official authorized by the owner or operator of a unit to represent the owner or operator in all matters pertaining to the holding, transfer, or disposition of allowances allocated to a unit, and the submission of and compliance with permits, permit applications, and compliance plans for the unit. "Draft CAAPP permit" means the version of a CAAPP permit for which public notice and an opportunity for public comment and hearing is offered by the Agency. "Effective date of the CAAPP" means the date that USEPA approves Illinois' CAAPP. "Emission unit" means any part or activity of a stationary source that emits or has the potential to emit any air pollutant. This term is not meant to alter or affect the definition of the term "unit" for purposes of Title IV of the Clean Air Act. "Federally enforceable" means enforceable by USEPA. "Final permit action" means the Agency's granting with conditions, refusal to grant, renewal of, or revision of a CAAPP permit, the Agency's determination of incompleteness of a submitted CAAPP application, or the Agency's failure to act on an application for a permit, permit renewal, or permit revision within the time specified in subsection 13, subsection 14, or paragraph (j) of subsection 5 of this Section. "General permit" means a permit issued to cover numerous similar sources in accordance with subsection 11 of this Section. "Major source" means a source for which emissions of one or more air pollutants meet the criteria for major status pursuant to paragraph (c) of subsection 2 of this Section. "Maximum achievable control technology" or "MACT" means the maximum degree of reductions in emissions deemed achievable under Section 112 of the Clean Air Act. "Owner or operator" means any person who owns, leases, operates, controls, or supervises a stationary source. "Permit modification" means a revision to a CAAPP permit that cannot be accomplished under the provisions for administrative permit amendments under subsection 13 of this Section. "Permit revision" means a permit modification or administrative permit amendment. "Phase II" means the period of the national acid rain program, established under Title IV of the Clean Air Act, beginning January 1, 2000, and continuing thereafter. "Phase II acid rain permit" means the portion of a CAAPP permit issued, renewed, modified, or revised by the Agency during Phase II for an affected source for acid deposition. "Potential to emit" means the maximum capacity of a stationary source to emit any air pollutant under its physical and operational design. Any physical or operational limitation on the capacity of a source to emit an air pollutant, including air pollution control equipment and restrictions on hours of operation or on the type or amount of material combusted, stored, or processed, shall be treated as part of its design if the limitation is enforceable by USEPA. This definition does not alter or affect the use of this term for any other purposes under the Clean Air Act, or the term "capacity factor" as used in Title IV of the Clean Air Act or the regulations promulgated thereunder. "Preconstruction Permit" or "Construction Permit" means a permit which is to be obtained prior to commencing or beginning actual construction or modification of a source or emissions unit. "Proposed CAAPP permit" means the version of a CAAPP permit that the Agency proposes to issue and forwards to USEPA for review in compliance with applicable requirements of the Act and regulations promulgated thereunder. "Regulated air pollutant" means the following: (1) Nitrogen oxides (NOx) or any volatile organic | ||
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(2) Any pollutant for which a national ambient air | ||
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(3) Any pollutant that is subject to any standard | ||
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(4) Any Class I or II substance subject to a standard | ||
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(5) Any pollutant subject to a standard promulgated | ||
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(i) Any pollutant subject to requirements under | ||
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(ii) Any pollutant for which the requirements of | ||
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(6) Greenhouse gases. "Renewal" means the process by which a permit is reissued at the end of its term. "Responsible official" means one of the following: (1) For a corporation: a president, secretary, | ||
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(2) For a partnership or sole proprietorship: a | ||
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(3) For a municipality, State, Federal, or other | ||
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(4) For affected sources for acid deposition: (i) The designated representative shall be the | ||
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(ii) The designated representative may also be | ||
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"Section 502(b)(10) changes" means changes that contravene express permit terms. "Section 502(b)(10) changes" do not include changes that would violate applicable requirements or contravene federally enforceable permit terms or conditions that are monitoring (including test methods), recordkeeping, reporting, or compliance certification requirements. "Solid waste incineration unit" means a distinct operating unit of any facility which combusts any solid waste material from commercial or industrial establishments or the general public (including single and multiple residences, hotels, and motels). The term does not include incinerators or other units required to have a permit under Section 3005 of the Solid Waste Disposal Act. The term also does not include (A) materials recovery facilities (including primary or secondary smelters) which combust waste for the primary purpose of recovering metals, (B) qualifying small power production facilities, as defined in Section 3(17)(C) of the Federal Power Act (16 U.S.C. 769(17)(C)), or qualifying cogeneration facilities, as defined in Section 3(18)(B) of the Federal Power Act (16 U.S.C. 796(18)(B)), which burn homogeneous waste (such as units which burn tires or used oil, but not including refuse-derived fuel) for the production of electric energy or in the case of qualifying cogeneration facilities which burn homogeneous waste for the production of electric energy and steam or forms of useful energy (such as heat) which are used for industrial, commercial, heating or cooling purposes, or (C) air curtain incinerators provided that such incinerators only burn wood wastes, yard waste and clean lumber and that such air curtain incinerators comply with opacity limitations to be established by the USEPA by rule. "Source" means any stationary source (or any group of stationary sources) that is located on one or more contiguous or adjacent properties that are under common control of the same person (or persons under common control) and that belongs to a single major industrial grouping. For the purposes of defining "source," a stationary source or group of stationary sources shall be considered part of a single major industrial grouping if all of the pollutant emitting activities at such source or group of sources located on contiguous or adjacent properties and under common control belong to the same Major Group (i.e., all have the same two-digit code) as described in the Standard Industrial Classification Manual, 1987, or such pollutant emitting activities at a stationary source (or group of stationary sources) located on contiguous or adjacent properties and under common control constitute a support facility. The determination as to whether any group of stationary sources is located on contiguous or adjacent properties, and/or is under common control, and/or whether the pollutant emitting activities at such group of stationary sources constitute a support facility shall be made on a case by case basis. "Stationary source" means any building, structure, facility, or installation that emits or may emit any regulated air pollutant or any pollutant listed under Section 112(b) of the Clean Air Act, except those emissions resulting directly from an internal combustion engine for transportation purposes or from a nonroad engine or nonroad vehicle as defined in Section 216 of the Clean Air Act. "Subject to regulation" has the meaning given to it in 40 CFR 70.2, as now or hereafter amended. "Support facility" means any stationary source (or group of stationary sources) that conveys, stores, or otherwise assists to a significant extent in the production of a principal product at another stationary source (or group of stationary sources). A support facility shall be considered to be part of the same source as the stationary source (or group of stationary sources) that it supports regardless of the 2-digit Standard Industrial Classification code for the support facility. "USEPA" means the Administrator of the United States Environmental Protection Agency (USEPA) or a person designated by the Administrator. 1.1. Exclusion From the CAAPP. a. An owner or operator of a source which determines | ||
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b. An owner or operator of a source seeking exclusion | ||
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c. Upon such request, if the Agency determines that | ||
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d. The Agency shall provide an owner or operator of a | ||
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e. The Agency shall provide such sources with the | ||
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2. Applicability. a. Sources subject to this Section shall include: i. Any major source as defined in paragraph (c) | ||
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ii. Any source subject to a standard or other | ||
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iii. Any affected source for acid deposition, as | ||
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iv. Any other source subject to this Section | ||
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b. Sources exempted from this Section shall include: i. All sources listed in paragraph (a) of this | ||
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ii. Nonmajor sources subject to a standard or | ||
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iii. All sources and source categories that would | ||
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iv. All sources and source categories that would | ||
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v. Any other source categories exempted by USEPA | ||
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vi. Major sources of greenhouse gas emissions | ||
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(A) enactment of federal legislation | ||
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(B) the issuance of any opinion, ruling, | ||
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(C) action by the President of the United | ||
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If any event listed in this subparagraph (vi) | ||
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c. For purposes of this Section the term "major | ||
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i. A major source under Section 112 of the Clean | ||
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A. For pollutants other than radionuclides, | ||
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B. For radionuclides, "major source" shall | ||
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ii. A major stationary source of air pollutants, | ||
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A. Coal cleaning plants (with thermal dryers). B. Kraft pulp mills. C. Portland cement plants. D. Primary zinc smelters. E. Iron and steel mills. F. Primary aluminum ore reduction plants. G. Primary copper smelters. H. Municipal incinerators capable of charging | ||
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I. Hydrofluoric, sulfuric, or nitric acid | ||
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J. Petroleum refineries. K. Lime plants. L. Phosphate rock processing plants. M. Coke oven batteries. N. Sulfur recovery plants. O. Carbon black plants (furnace process). P. Primary lead smelters. Q. Fuel conversion plants. R. Sintering plants. S. Secondary metal production plants. T. Chemical process plants. U. Fossil-fuel boilers (or combination | ||
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V. Petroleum storage and transfer units with | ||
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W. Taconite ore processing plants. X. Glass fiber processing plants. Y. Charcoal production plants. Z. Fossil fuel-fired steam electric plants of | ||
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AA. All other stationary source categories, | ||
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BB. Any other stationary source category | ||
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iii. A major stationary source as defined in part | ||
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A. For ozone nonattainment areas, sources | ||
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B. For ozone transport regions established | ||
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C. For carbon monoxide nonattainment areas | ||
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D. For particulate matter (PM-10) | ||
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3. Agency Authority To Issue CAAPP Permits and Federally Enforceable State Operating Permits. a. The Agency shall issue CAAPP permits under this | ||
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b. The Agency shall issue CAAPP permits for fixed | ||
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c. The Agency shall have the authority to issue a | ||
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d. For purposes of this Act, a permit issued by USEPA | ||
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4. Transition. a. An owner or operator of a CAAPP source shall not | ||
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b. An owner or operator of a CAAPP source shall | ||
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c. An owner or operator of a CAAPP source shall | ||
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d. The Agency shall act on initial CAAPP applications | ||
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e. For purposes of this Section, the term "initial | ||
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f. The Agency shall provide owners or operators of | ||
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g. The CAAPP permit shall upon becoming effective | ||
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h. The Agency shall have the authority to adopt | ||
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5. Applications and Completeness. a. An owner or operator of a CAAPP source shall | ||
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b. An owner or operator of a CAAPP source shall | ||
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c. To be deemed complete, a CAAPP application must | ||
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d. An owner or operator of a CAAPP source shall | ||
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e. Each submitted CAAPP application shall be | ||
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f. The Agency shall provide notice to a CAAPP | ||
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g. If after the determination of completeness the | ||
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h. If the owner or operator of a CAAPP source submits | ||
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i. Any applicant who fails to submit any relevant | ||
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j. The Agency shall issue or deny the CAAPP permit | ||
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Where the Agency does not take final action on the | ||
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k. The submittal of a complete CAAPP application | ||
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l. Unless a timely and complete renewal application | ||
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m. Permits being renewed shall be subject to the same | ||
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n. For purposes of permit renewal, a timely | ||
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o. The terms and conditions of a CAAPP permit shall | ||
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p. The owner or operator of a CAAPP source seeking a | ||
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q. The Agency shall make available to the public all | ||
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r. The Agency shall use the standardized forms | ||
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s. An owner or operator of a CAAPP source may include | ||
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t. An owner or operator of a CAAPP source, in order | ||
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u. An owner or operator of a CAAPP source which seeks | ||
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v. CAAPP applications shall contain accurate | ||
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w. An owner or operator of a CAAPP source shall | ||
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x. The owner or operator of a new CAAPP source shall | ||
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y. The Agency shall have the authority to adopt | ||
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6. Prohibitions. a. It shall be unlawful for any person to violate any | ||
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b. After the applicable CAAPP permit or renewal | ||
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c. No owner or operator of a CAAPP source shall cause | ||
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7. Permit Content. a. All CAAPP permits shall contain emission | ||
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b. The Agency shall include among such conditions | ||
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c. The Agency shall assure, within such conditions, | ||
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d. To meet the requirements of this subsection with | ||
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i. Incorporate and identify all applicable | ||
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ii. Where the applicable requirement does not | ||
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iii. As necessary, specify requirements | ||
| ||
e. To meet the requirements of this subsection with | ||
| ||
i. Records of required monitoring information | ||
| ||
A. The date, place and time of sampling or | ||
| ||
B. The date(s) analyses were performed. C. The company or entity that performed the | ||
| ||
D. The analytical techniques or methods used. E. The results of such analyses. F. The operating conditions as existing at | ||
| ||
ii. Retention of records of all monitoring data | ||
| ||
f. To meet the requirements of this subsection with | ||
| ||
i. Submittal of reports of any required | ||
| ||
ii. Prompt reporting of deviations from permit | ||
| ||
g. Each CAAPP permit issued under subsection 10 of | ||
| ||
h. All CAAPP permits shall state that, where another | ||
| ||
i. Each CAAPP permit issued under subsection 10 of | ||
| ||
j. The following shall apply with respect to owners | ||
| ||
i. The Agency shall include in a CAAPP permit, | ||
| ||
A. The applicable requirement is specifically | ||
| ||
B. The Agency in acting on the CAAPP | ||
| ||
ii. The permit shall identify the requirements | ||
| ||
iii. A CAAPP permit which does not expressly | ||
| ||
iv. Nothing in this paragraph or in a CAAPP | ||
| ||
A. The provisions of Section 303 (emergency | ||
| ||
B. The liability of an owner or operator of a | ||
| ||
C. The applicable requirements of the acid | ||
| ||
D. The ability of USEPA to obtain information | ||
| ||
k. (Blank). l. The Agency shall include in each permit issued | ||
| ||
i. Terms and conditions for reasonably | ||
| ||
A. Under this subparagraph, the source must | ||
| ||
B. The permit shield described in paragraph | ||
| ||
ii. Where requested by an applicant, all terms | ||
| ||
A. Shall include all terms required under | ||
| ||
B. Must meet all applicable requirements; C. Shall extend the permit shield described | ||
| ||
m. The Agency shall specifically designate as not | ||
| ||
n. Each CAAPP permit issued under subsection 10 of | ||
| ||
o. Each CAAPP permit issued under subsection 10 of | ||
| ||
i. Duty to comply. The permittee must comply with | ||
| ||
ii. Need to halt or reduce activity not a | ||
| ||
iii. Permit actions. The permit may be modified, | ||
| ||
iv. Property rights. The permit does not convey | ||
| ||
v. Duty to provide information. The permittee | ||
| ||
vi. Duty to pay fees. The permittee must pay fees | ||
| ||
vii. Emissions trading. No permit revision shall | ||
| ||
p. Each CAAPP permit issued under subsection 10 of | ||
| ||
i. Compliance certification, testing, monitoring, | ||
| ||
ii. Inspection and entry requirements that | ||
| ||
A. Enter upon the permittee's premises where | ||
| ||
B. Have access to and copy, at reasonable | ||
| ||
C. Inspect at reasonable times any | ||
| ||
D. Sample or monitor any substances or | ||
| ||
1. As authorized by the Clean Air Act, at | ||
| ||
2. As otherwise authorized by this Act. iii. A schedule of compliance consistent with | ||
| ||
iv. Progress reports consistent with an | ||
| ||
A. Required dates for achieving the | ||
| ||
B. An explanation of why any dates in the | ||
| ||
v. Requirements for compliance certification with | ||
| ||
A. The frequency (annually or more frequently | ||
| ||
B. A means for assessing or monitoring the | ||
| ||
C. A requirement that the compliance | ||
| ||
1. The identification of each term or | ||
| ||
2. The compliance status. 3. Whether compliance was continuous or | ||
| ||
4. The method(s) used for determining the | ||
| ||
D. A requirement that all compliance | ||
| ||
E. Additional requirements as may be | ||
| ||
F. Other provisions as the Agency may require. q. If the owner or operator of CAAPP source can | ||
| ||
8. Public Notice; Affected State Review. a. The Agency shall provide notice to the public, | ||
| ||
b. The Agency shall prepare a draft CAAPP permit and | ||
| ||
c. The Agency shall give notice of each draft CAAPP | ||
| ||
d. The Agency, as part of its submittal of a proposed | ||
| ||
e. The Agency shall make available to the public any | ||
| ||
f. The Agency shall have the authority to adopt | ||
| ||
g. If requested by the permit applicant, the Agency | ||
| ||
9. USEPA Notice and Objection. a. The Agency shall provide to USEPA for its review a | ||
| ||
b. The Agency shall not issue the proposed CAAPP | ||
| ||
c. If USEPA objects in writing to the issuance of the | ||
| ||
d. Any USEPA objection under this subsection, | ||
| ||
e. If USEPA does not object in writing to issuance of | ||
| ||
f. If the permit has not yet been issued and USEPA | ||
| ||
g. If the Agency has issued a permit after expiration | ||
| ||
h. The Agency shall have the authority to adopt | ||
| ||
10. Final Agency Action. a. The Agency shall issue a CAAPP permit, permit | ||
| ||
i. The applicant has submitted a complete and | ||
| ||
ii. The applicant has submitted with its complete | ||
| ||
iii. The applicant has timely paid the fees | ||
| ||
iv. The Agency has received a complete CAAPP | ||
| ||
v. The Agency has complied with all applicable | ||
| ||
vi. The Agency has provided a copy of each CAAPP | ||
| ||
b. The Agency shall have the authority to deny a | ||
| ||
c. i. Prior to denial of a CAAPP permit, permit | ||
| ||
ii. Within such notice, the Agency shall specify | ||
| ||
iii. Failure by the applicant to adequately | ||
| ||
For purposes of obtaining judicial review under | ||
| ||
d. The Agency shall have the authority to adopt | ||
| ||
11. General Permits. a. The Agency may issue a general permit covering | ||
| ||
b. The Agency shall identify, in any general permit, | ||
| ||
c. CAAPP sources that would qualify for a general | ||
| ||
d. The Agency shall comply with the public comment | ||
| ||
e. When granting a subsequent request by a qualifying | ||
| ||
f. The Agency may not issue a general permit to cover | ||
| ||
g. The Agency shall have the authority to adopt | ||
| ||
12. Operational Flexibility. a. An owner or operator of a CAAPP source may make | ||
| ||
i. An owner or operator of a CAAPP source may | ||
| ||
A. For each such change, the written | ||
| ||
B. The permit shield described in paragraph | ||
| ||
ii. An owner or operator of a CAAPP source may | ||
| ||
A. Under this subparagraph (ii) of paragraph | ||
| ||
B. The permit shield described in paragraph | ||
| ||
iii. If requested within a CAAPP application, the | ||
| ||
A. Under this subparagraph (iii) of paragraph | ||
| ||
B. The permit shield described in paragraph | ||
| ||
b. An owner or operator of a CAAPP source may make | ||
| ||
(i) Each such change shall meet all applicable | ||
| ||
(ii) Sources must provide contemporaneous written | ||
| ||
(iii) The change shall not qualify for the shield | ||
| ||
(iv) The permittee shall keep a record describing | ||
| ||
c. The Agency shall have the authority to adopt | ||
| ||
13. Administrative Permit Amendments. a. The Agency shall take final action on a request | ||
| ||
b. The Agency shall submit a copy of the revised | ||
| ||
c. For purposes of this Section the term | ||
| ||
i. Corrects typographical errors; ii. Identifies a change in the name, address, or | ||
| ||
iii. Requires more frequent monitoring or | ||
| ||
iv. Allows for a change in ownership or | ||
| ||
v. Incorporates into the CAAPP permit the | ||
| ||
vi. (Blank); or vii. Any other type of change which USEPA has | ||
| ||
d. The Agency shall, upon taking final action | ||
| ||
e. Permit revisions and modifications, including | ||
| ||
f. The CAAPP source may implement the changes | ||
| ||
g. The Agency shall have the authority to adopt | ||
| ||
14. Permit Modifications. a. Minor permit modification procedures. i. The Agency shall review a permit modification | ||
| ||
A. Do not violate any applicable requirement; B. Do not involve significant changes to | ||
| ||
C. Do not require a case-by-case | ||
| ||
D. Do not seek to establish or change a | ||
| ||
1. A federally enforceable emissions cap | ||
| ||
2. An alternative emissions limit | ||
| ||
E. Are not modifications under any provision | ||
| ||
F. Are not required to be processed as a | ||
| ||
ii. Notwithstanding subparagraph (i) of paragraph | ||
| ||
iii. An applicant requesting the use of minor | ||
| ||
A. A description of the change, the emissions | ||
| ||
B. The source's suggested draft permit; C. Certification by a responsible official, | ||
| ||
D. Completed forms for the Agency to use to | ||
| ||
iv. Within 5 working days after receipt of a | ||
| ||
v. The Agency may not issue a final permit | ||
| ||
A. Issue the permit modification as proposed; B. Deny the permit modification application; C. Determine that the requested modification | ||
| ||
D. Revise the draft permit modification and | ||
| ||
vi. Any CAAPP source may make the change proposed | ||
| ||
vii. The permit shield under paragraph (j) of | ||
| ||
viii. If a construction permit is required, | ||
| ||
b. Group Processing of Minor Permit Modifications. i. Where requested by an applicant within its | ||
| ||
ii. Permit modifications may be processed in | ||
| ||
A. Which meet the criteria for minor permit | ||
| ||
B. That collectively are below 10 percent of | ||
| ||
iii. An applicant requesting the use of group | ||
| ||
A. A description of the change, the emissions | ||
| ||
B. The source's suggested draft permit. C. Certification by a responsible official | ||
| ||
D. A list of the source's other pending | ||
| ||
E. Certification, consistent with paragraph | ||
| ||
F. Completed forms for the Agency to use to | ||
| ||
iv. On a quarterly basis or within 5 business | ||
| ||
v. The provisions of subparagraph (v) of | ||
| ||
vi. The provisions of subparagraph (vi) of | ||
| ||
vii. The provisions of paragraph (j) of | ||
| ||
c. Significant Permit Modifications. i. Significant modification procedures shall be | ||
| ||
ii. Every significant change in existing | ||
| ||
iii. Significant permit modifications must meet | ||
| ||
d. The Agency shall have the authority to adopt | ||
| ||
15. Reopenings for Cause by the Agency. a. Each issued CAAPP permit shall include provisions | ||
| ||
i. Additional requirements under the Clean Air | ||
| ||
ii. Additional requirements (including excess | ||
| ||
iii. The Agency or USEPA determines that the | ||
| ||
iv. The Agency or USEPA determines that the | ||
| ||
b. In the event that the Agency determines that there | ||
| ||
c. Proceedings regarding a reopened CAAPP permit | ||
| ||
d. Reopenings under paragraph (a) of this subsection | ||
| ||
e. The Agency shall have the authority to adopt | ||
| ||
16. Reopenings for Cause by USEPA. a. When USEPA finds that cause exists to terminate, | ||
| ||
b. i. Prior to the Agency's submittal to USEPA of | ||
| ||
ii. After due consideration of the written and | ||
| ||
iii. The Board shall cause a copy of its interim | ||
| ||
c. USEPA shall review the proposed determination to | ||
| ||
i. When USEPA reviews the proposed determination | ||
| ||
ii. When USEPA reviews such proposed | ||
| ||
iii. When USEPA reviews such proposed | ||
| ||
d. If the Agency fails to submit the proposed | ||
| ||
e. The Agency shall have the authority to adopt | ||
| ||
17. Title IV; Acid Rain Provisions. a. The Agency shall act on initial CAAPP applications | ||
| ||
b. A designated representative of an affected source | ||
| ||
c. Each Phase II acid rain permit issued in | ||
| ||
d. A designated representative of a new unit, as | ||
| ||
e. A designated representative of an affected source | ||
| ||
f. The designated representative of the affected | ||
| ||
g. In the case of an affected source for acid | ||
| ||
h. The Agency shall not include or implement any | ||
| ||
i. Nothing in this Section shall be construed as | ||
| ||
i. No permit revision shall be required for | ||
| ||
ii. No limit shall be placed on the number of | ||
| ||
iii. Any such allowance shall be accounted for | ||
| ||
j. To the extent that the federal regulations | ||
| ||
k. The USEPA may intervene as a matter of right in | ||
| ||
l. It is unlawful for any owner or operator to | ||
| ||
m. The designated representative of an affected | ||
| ||
n. The Agency shall act on any petition for exemption | ||
| ||
o. The Agency shall have the authority to adopt | ||
| ||
18. Fee Provisions. a. A source subject to this Section or excluded under | ||
| ||
i. The fee for a source allowed to emit less than | ||
| ||
ii. The fee for a source allowed to emit 100 tons | ||
| ||
A. The Agency shall assess a fee of $18 per | ||
| ||
Notwithstanding the above, any applicant may | ||
| ||
B. The applicant or permittee may pay the fee | ||
| ||
b. (Blank). c. (Blank). d. There is hereby created in the State Treasury a | ||
| ||
e. The Agency shall have the authority to adopt | ||
| ||
f. For purposes of this subsection, the term | ||
| ||
i. carbon monoxide; ii. any Class I or II substance which is a | ||
| ||
iii. any pollutant that is a regulated air | ||
| ||
19. Air Toxics Provisions. a. In the event that the USEPA fails to promulgate in | ||
| ||
b. Any Board proceeding brought under paragraph (a) | ||
| ||
c. The Agency shall have the authority to implement | ||
| ||
d. The Agency shall have the authority to issue | ||
| ||
e. The Agency has the authority to implement Section | ||
| ||
20. Small Business. a. For purposes of this subsection: "Program" is the Small Business Stationary Source | ||
| ||
"Small Business Assistance Program" is a component of | ||
| ||
"Small Business Stationary Source" means a stationary | ||
| ||
1. is owned or operated by a person that employs | ||
| ||
2. is a small business concern as defined in the | ||
| ||
3. is not a major source as that term is defined | ||
| ||
4. does not emit 50 tons or more per year of any | ||
| ||
5. emits less than 75 tons per year of all | ||
| ||
b. The Agency shall adopt and submit to USEPA, after | ||
| ||
c. The Agency shall have the authority to enter into | ||
| ||
d. The Agency may establish such procedures as it may | ||
| ||
e. There shall be appointed a Small Business | ||
| ||
f. The State Ombudsman Office shall be located in an | ||
| ||
g. There is hereby created a State Compliance | ||
| ||
h. The selection of Panel members shall be by the | ||
| ||
1. The Governor shall select two members who are | ||
| ||
2. The Director of the Agency shall select one | ||
| ||
3. The State Legislature shall select four | ||
| ||
i. Panel members should serve without compensation | ||
| ||
j. The Panel shall select its own Chair by a majority | ||
| ||
21. Temporary Sources. a. The Agency may issue a single permit authorizing | ||
| ||
b. The applicant must demonstrate that the operation | ||
| ||
c. Any such permit shall meet all applicable | ||
| ||
22. Solid Waste Incineration Units. a. A CAAPP permit for a solid waste incineration unit | ||
| ||
b. During the review in paragraph (a) of this | ||
| ||
c. If the Agency determines that the source is not in | ||
| ||
d. The Agency shall have the authority to adopt | ||
| ||
(Source: P.A. 103-1008, eff. 8-9-24.) |
(415 ILCS 5/39.8) Sec. 39.8. Gasification conversion technology demonstration permit. (a) The purpose of this Section is to provide for the permitting and limited testing of gasification conversion technologies on a pilot scale basis. (b) For purposes of this Section: "Gasification conversion technology" or "GCT" means | ||
| ||
"GCTDP" means a gasification conversion technology | ||
| ||
(c) The Agency may, under the authority of subsection (b) of Section 9 and subsection (a) of Section 39 of the Act, issue a GCTDP to an applicant for limited field testing of a GCT in order to demonstrate that the GCT can reliably produce syngas meeting specifications for its use as fuel for the generation of electricity. The GCTDP shall be subject to all of the following conditions: (1) The GCTDP shall be for a period not to exceed | ||
| ||
(2) The applicant for a GCTDP must demonstrate | ||
| ||
(3) The applicant for a GCTDP must perform | ||
| ||
(4) During the permit period the applicant may not | ||
| ||
(5) In addition to the GCTDP, the applicant must | ||
| ||
(6) The applicant must demonstrate that the | ||
| ||
(7) The applicant for a GCTDP shall submit | ||
| ||
(8) A complete application for a GCTDP must be | ||
| ||
(9) The GCTDP shall not be granted for use in a | ||
| ||
(Source: P.A. 96-887, eff. 4-9-10.) |
(415 ILCS 5/39.9) Sec. 39.9. Thermochemical conversion technology demonstration permit. (a) The purpose of this Section is to provide for the permitting and testing of thermochemical conversion technology ("TCT") on a pilot-scale basis. (b) For purposes of this Section: "Thermochemical conversion" means the application of heat to woody biomass, collected as landscape waste within the boundaries of the host unit of local government, in order to convert that material to a synthetic gas ("syngas") that can be processed for use as a fuel for the production of electricity and process heat, for the production of ethanol or hydrogen to be used as transportation fuel, or for both of those purposes. To qualify as thermochemical conversion, the thermochemical conversion technology must not continuously operate at temperatures exceeding an hourly average of 2,000°F, must operate at or near atmospheric pressure with no intentional or forced addition of air or oxygen, must use electricity for the source of heat, and must be designed to produce more energy than it consumes. "Thermochemical conversion technology demonstration permit" or "TCTDP" means a demonstration permit issued by the Agency's Bureau of Air Permit Section under this Section. The TCT will be considered a process emission unit. "Thermochemical conversion technology processing facility" means a facility constructed and operated for the purpose of conducting thermochemical conversion under this Section. "Woody biomass" means the fibrous cellular substance consisting largely of cellulose, hemicellulose, and lignin from trees and shrubs collected as landscape waste. "Woody biomass" also includes bark and leaves from trees and shrubs, but does not include other wastes or foreign materials. (c) The Agency may, under the authority of subsection (b) of Section 9 and subsection (a) of Section 39 of the Act, issue a TCTDP to an applicant for field testing of a thermochemical conversion technology processing facility to demonstrate that the thermochemical conversion technology can reliably produce syngas that can be processed for use as a fuel for the production of electricity and process heat, for the production of ethanol or hydrogen to be used as transportation fuel, or for both purposes. The TCTDP shall be subject to the following conditions: (1) The application for a TCTDP must demonstrate that | ||
| ||
(2) The applicant for a TCTDP must perform emissions | ||
| ||
(3) During the permit period the applicant for a | ||
| ||
(4) The applicant for a TCTDP must demonstrate that | ||
| ||
(5) The applicant for a TCTDP must submit application | ||
| ||
(6) A complete application for a TCTDP must be filed | ||
| ||
(7) In addition to the TCTDP, the applicant for a | ||
| ||
(Source: P.A. 96-1314, eff. 7-27-10.) |
(415 ILCS 5/39.10) Sec. 39.10. General permits. (a) Except as otherwise prohibited by federal law or regulation, the Agency may issue general permits for the construction, installation, or operation of categories of facilities for which permits are required under this Act or Board regulation, provided that such general permits are consistent with federal and State laws and regulations. Such general permits shall include, but shall not be limited to, provisions requiring the following as prerequisites to obtaining coverage under a general permit: (i) the submittal of a notice of intent to be covered by the general permit and (ii) the payment of applicable permitting fees. The Agency may include conditions in such general permits as may be necessary to accomplish the intent of this Act and rules adopted under this Act. (b) Within 6 months after the effective date of this amendatory Act of the 97th General Assembly, the Agency shall, in consultation with the regulated community, identify types of permits for which general permits would be appropriate and consistent with State and federal law and regulations. The types of permits may include, but shall not be limited to, permits for nonhazardous solid waste activities, discharge of storm water from landfills, and discharge of hydrostatic test waters. Within 18 months after the effective date of this amendatory Act of the 97th General Assembly, the Agency shall, in consultation with the regulated community, develop general permits for the types of permits identified pursuant to this subsection (b). (c) Persons obtaining coverage under a general permit shall be subject to the same permitting fees that apply to persons obtaining individual permits. (d) No person obtaining coverage under a general permit shall violate this Act, rules adopted under this Act, or the terms or conditions of the general permit. (e) This Section does not apply to sources subject to Section 39.5 of this Act.
(Source: P.A. 97-95, eff. 7-12-11.) |
(415 ILCS 5/39.12) Sec. 39.12. Permits by rule. (a) Except as otherwise prohibited by federal law or regulation, the Board may adopt rules providing for permits by rule for classes of facilities or equipment, provided that the permits by rule are consistent with federal and State laws and regulations. Proposals for permits by rule authorized under this Section may be filed by any person in accordance with Title VII of this Act. (b) Board rules adopted under this Section shall include, but not be limited to, standards as may be necessary to accomplish the intent of this Act and rules adopted under this Act and the terms and conditions for obtaining a permit by rule under this Section, which shall include, but not be limited to, the following as prerequisites to obtaining a permit by rule: (i) the submittal of a notice of intent to be subject to the permit by rule and (ii) the payment of applicable permitting fees. (c) Within one year after the effective date of this amendatory Act of the 97th General Assembly, the Agency shall, in consultation with the regulated community, identify types of permits for which permits by rule would be appropriate and consistent with State and federal law and regulations. The types of permits may include, but shall not be limited to, permits for open burning, certain package boilers and heaters using only natural gas or refinery gas, and certain internal combustion engines. (d) Persons obtaining a permit by rule shall be subject to the same permitting fees that apply to persons obtaining individual permits. (e) No person that has obtained a permit by rule shall violate this Act, rules adopted under this Act, or the terms and conditions of the permit by rule.
(Source: P.A. 97-95, eff. 7-12-11.) |
(415 ILCS 5/39.14) Sec. 39.14. Expedited review of permits. (a) It is the intent of this Section to promote an expedited permit review process for any permit required under this Act. (b) Any applicant for a permit under this Act may request in writing from the Agency an expedited review of the application for a permit. Within a reasonable time, the Agency shall respond in writing, indicating whether the Agency will perform an expedited review. (c) In addition to any other fees required by this Act or Board regulations, an applicant requesting expedited review under this Section shall pay to the Agency an expedited permit fee. The amount of the expedited permit fee shall be 4 times the standard permit fee required for the requested permit under this Act or Board regulations; provided that the expedited permit fee shall not exceed $100,000. For recurring permit fees, such as annual fees, operating fees, or discharge fees, the expedited permit fee shall be 4 times the amount of the recurring fee on a one-time basis for each expedited permitting action. If an owner or operator is not required to pay a standard permit fee for the requested permit, the amount of the expedited permit fee shall be mutually agreed upon by the Agency and the applicant. Prior to any Agency review, the applicant shall make full payment of the expedited permit fee to the Agency. All amounts paid to the Agency pursuant to this Section shall be deposited into the Environmental Protection Permit and Inspection Fund. The applicant shall also pay all standard permit fees in accordance with the applicable fee provisions of this Act or Board regulations. (d) The Agency's expedited review under this Section shall include the usual and customary review by the Agency as necessary for processing any similar application. (e) "Expedited review" means, for the purposes of this Section, the Agency taking action on a permit application within a period of time mutually agreed upon by the Agency and the applicant; provided, however, that the agreed-upon period of time shall be tolled during any times the Agency is waiting for the applicant or another party to provide information necessary for the Agency to complete its expedited review. (f) If the Agency fails to complete an expedited review within the period of time agreed upon by the Agency and the applicant, taking into account the tolling provided under subsection (e) of this Section, the applicant shall be entitled to a refund of the expedited permit fee paid under this Section, on a prorated basis, as mutually agreed upon by the Agency and the applicant. (g) This Section shall not apply to applications related to emergency events necessitating immediate action by the Agency on permit applications. (h) The Agency may adopt rules for the implementation of this Section.
(Source: P.A. 97-95, eff. 7-12-11.) |
(415 ILCS 5/40) (from Ch. 111 1/2, par. 1040)
Sec. 40. Appeal of permit denial.
(a)(1) If the Agency refuses to grant or grants with conditions a permit
under Section 39 of this Act, the applicant may, within 35 days after the
date on which the Agency served its decision on the applicant, petition for
a hearing before the Board to contest the decision of the Agency. However,
the 35-day period for petitioning for a hearing may be extended for an
additional period of time not to exceed 90 days by written notice
provided to the Board from the applicant and the Agency within the initial
appeal period. The Board shall give 21 days' notice to any person in the
county where is located the facility in issue who has requested notice of
enforcement proceedings and to each member of the General Assembly in whose
legislative district that installation or property is located; and shall
publish that 21-day notice in a newspaper of general circulation in that
county. The Agency shall appear as respondent in such hearing. At such
hearing the rules prescribed in Section 32 and subsection (a) of Section 33 of
this Act shall apply, and the burden of proof shall be on the petitioner. If,
however, the Agency issues an NPDES permit that imposes limits which are based
upon a criterion or denies a permit based upon application of a criterion,
then the Agency shall have the burden of going forward with the basis for
the derivation of those limits or criterion which were derived under the
Board's rules.
(2) Except as provided in paragraph (a)(3), if there is no final action by
the Board within 120 days after the date on which it received the petition,
the petitioner may deem the permit issued under this Act, provided,
however, that that period of 120 days shall not run for any period of time,
not to exceed 30 days, during which the Board is without sufficient membership
to constitute the quorum required by subsection (a) of Section 5 of this Act,
and provided further that such 120 day period shall not be stayed for lack of
quorum beyond 30 days regardless of whether the lack of quorum exists at the
beginning of such 120-day period or occurs during the running of such 120-day
period.
(3) Paragraph (a)(2) shall not apply to any permit which is subject
to subsection (b), (d) or (e) of Section 39. If there is no final action by
the Board within 120 days after the date on which it received the petition,
the petitioner shall be entitled to an Appellate Court order pursuant to
subsection (d) of Section 41 of this Act.
(b) If the Agency grants a RCRA permit for a hazardous waste disposal site,
a third party, other than the permit applicant or Agency, may, within 35
days after the date on which the Agency issued its decision, petition the
Board for a hearing to contest the issuance of the permit.
Unless the Board determines that such petition is duplicative or frivolous, or that the petitioner is so located as to
not be affected by the permitted facility, the Board shall hear the
petition in accordance with the terms of subsection (a) of this Section
and its procedural rules governing denial appeals, such hearing to be
based exclusively on the record before the Agency. The burden of proof
shall be on the petitioner. The Agency and the permit applicant shall
be named co-respondents.
The provisions of this subsection do not apply to the granting of permits
issued for the disposal or utilization of sludge from publicly owned sewage
works.
(c) Any party to an Agency proceeding conducted pursuant to Section
39.3 of this Act may petition as of right to the Board for review of the
Agency's decision within 35 days from the date of issuance of the Agency's
decision, provided that such appeal is not duplicative
or frivolous.
However, the 35-day period for petitioning for a hearing may be extended
by the applicant for a period of time not to exceed 90 days by written notice
provided to the Board from the applicant and the Agency within the initial
appeal period. If another person with standing to appeal wishes to obtain
an extension, there must be a written notice provided to the Board by that
person, the Agency, and the applicant, within the initial appeal period.
The decision of the Board shall be based exclusively on the record compiled
in the Agency proceeding. In other respects the Board's review shall be
conducted in accordance with subsection (a) of this Section and the Board's
procedural rules governing permit denial appeals.
(d) In reviewing the denial or any condition of a NA NSR permit issued by the
Agency pursuant to rules and regulations adopted under subsection (c)
of Section 9.1 of this Act, the decision of the Board
shall be based exclusively on the record before the Agency including the
record of the hearing, if any, unless the parties agree to supplement the record. The Board shall, if
it finds the Agency is in error, make a final determination as to the
substantive limitations of the permit including a final determination of
Lowest Achievable Emission Rate.
(e)(1) If the Agency grants or denies a permit under subsection (b) of
Section 39 of this Act, a third party, other than the permit applicant or
Agency, may petition the Board within 35 days from the date of issuance of
the Agency's decision, for a hearing to contest the decision of the Agency.
(2) A petitioner shall include the following within a petition submitted
under subdivision (1) of this subsection:
(A) a demonstration that the petitioner raised the | ||
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(B) a demonstration that the petitioner is so | ||
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(3) If the Board determines that the petition is not duplicative or frivolous and contains a satisfactory demonstration under
subdivision (2) of this subsection, the Board shall hear the petition (i) in
accordance with the terms of subsection (a) of this Section and its procedural
rules governing permit denial appeals and (ii) exclusively on the basis of the
record before the Agency. The burden of proof shall be on the petitioner.
The Agency and permit applicant shall be named co-respondents.
(f) Any person who files a petition to contest the issuance of a
permit by the Agency shall pay a filing fee.
(g) If the Agency grants or denies a permit under subsection (y) of Section 39, a third party, other than the permit applicant or Agency, may appeal the Agency's decision as provided under federal law for CCR surface impoundment permits. (Source: P.A. 101-171, eff. 7-30-19; 102-558, eff. 8-20-21.)
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(415 ILCS 5/40.1) (from Ch. 111 1/2, par. 1040.1)
Sec. 40.1.
Appeal of siting approval.
(a) If the county board or the governing body of the municipality,
as determined by paragraph (c) of Section 39 of this Act, refuses to grant
or grants with conditions approval under Section 39.2 of this Act, the
applicant may, within 35 days after the date on which the local siting
authority disapproved or conditionally approved siting, petition for a
hearing before the Board to contest the decision of the county
board or the governing body of the municipality. The Board shall publish
21 day notice of the hearing on the appeal in a newspaper of general
circulation published in that county. The county board or governing
body of the municipality shall appear as respondent in such hearing, and
such hearing shall be based exclusively on the record before the county
board or the governing body of the municipality. At such hearing the rules
prescribed in Sections 32 and 33 (a) of this Act shall apply, and the burden
of proof shall be on the petitioner; however, no new or additional evidence
in support of or in opposition to any finding, order, determination or decision
of the appropriate county board or governing body of the municipality shall
be heard by the Board. In making its orders and determinations under this
Section the Board shall include in its consideration the written decision
and reasons for the decision of the county board or the governing body of
the municipality, the transcribed record of the hearing held pursuant to
subsection (d) of Section 39.2, and the fundamental fairness of the
procedures used by the county board or the governing body of the
municipality in reaching its decision. The Board shall transmit a copy of
its decision to the office of the county board or governing body of the
municipality where it shall be available for public inspection and copied
upon payment of the actual cost of reproduction. If there is no final
action by the Board within 120 days after the date on which it received
the petition, the petitioner may deem the site location approved;
provided, however, that that period of 120 days shall not run for
any period of time, not to exceed 30 days, during which the Board is
without sufficient membership to constitute the quorum required by
subsection (a) of Section 5 of this Act, and provided further, that such
120 day period shall not be stayed for lack of quorum beyond 30 days
regardless of whether the lack of quorum exists at the beginning of such
120 day period or occurs during the running of such 120 day period.
(b) If the county board or the governing body of the municipality as
determined by paragraph (c) of Section 39 of this Act, grants approval under
Section 39.2 of this Act, a third party other than the applicant who
participated in the public hearing conducted by the county board or governing
body of the municipality may, within 35 days after
the date on which the local siting authority granted siting approval, petition
the Board for a hearing to contest the approval of the county board or the
governing body of the municipality. Unless the Board determines that such
petition is duplicative or frivolous, or that the
petitioner is so located as to not be affected by the proposed facility,
the Board shall hear the petition in accordance with the terms of subsection
(a) of this Section and its procedural rules governing denial appeals, such
hearing to be based exclusively on the record before county board or the
governing body of the municipality. The burden of proof shall be on the
petitioner. The county board or the governing body of the municipality
and the applicant shall be named as co-respondents.
The Board shall transmit a copy of its decision to the office of the
county board or governing body of the municipality where it shall be
available for public inspection and may be copied upon payment of the
actual cost of reproduction.
(c) Any person who files a petition to contest a decision of the
county board or governing body of the municipality shall pay a filing fee.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/40.2) (from Ch. 111 1/2, par. 1040.2)
Sec. 40.2. Application of review process.
(a) Subsection (a) of Section 40 does not apply to any permit which is
subject to Section 39.5. If the Agency refuses to grant or grants with
conditions a CAAPP permit, makes a determination of incompleteness regarding a
submitted CAAPP application, or fails to act on an application for a CAAPP
permit, permit renewal, or permit revision within the time specified in
paragraph 5(j) of Section 39.5 of this Act, the applicant, any person who
participated in the public comment process pursuant to subsection 8 of Section
39.5 of this Act, or any other person who could obtain judicial review pursuant
to Section 41(a) of this Act, may,
within 35 days after final permit action, petition for a hearing before the
Board to contest the decision of the Agency. However, the 35-day period for
petitioning for a hearing may be extended by the applicant for an
additional period of time not to exceed 90 days by written notice
provided to the Board from the applicant and the Agency within the
initial appeal period. If another person with standing to appeal wishes to
obtain an extension, there must be a written notice provided to the Board by
that person, the Agency, and the applicant, within the initial appeal period.
Notwithstanding the preceding requirements, petitions for a
hearing before the Board under this subsection may be filed after the 35-day
period, only if such petitions are based solely on grounds arising after the
35-day period expires. Such petitions shall be filed within 35 days after the
new grounds for review arise. If the final permit action being challenged is
the Agency's failure to take final action, a petition for a hearing before the
Board shall be filed before the Agency denies or issues the final permit.
The Agency shall appear as respondent in such hearing. At such hearing the
rules prescribed in Sections 32 and 33(a) of this Act shall apply, and the
burden of proof shall be on the petitioner.
(b) The Agency's failure to take final action within 90 days of receipt of
an application requesting minor permit modification procedures (or 180 days for
modifications subject to group processing requirements), pursuant to subsection
14 of Section 39.5, will be subject to this Section and Section 41 of this Act.
(c) If there is no final action by the Board within 120 days after the
date on which it received the petition, the permit shall not be deemed
issued; rather, the petitioner shall be entitled to an Appellate Court order
pursuant to Section 41(d) of this Act. The period of 120 days shall not
run for any period of time, not to exceed 30 days, during which the Board is
without sufficient membership to constitute the quorum required by subsection
(a) of Section 5 of this Act; the 120 day period shall not be stayed for
lack of quorum beyond 30 days, regardless of whether the lack of quorum exists
at the beginning of the 120 day period or occurs during the running of the
120 day period.
(d) Any person who files a petition to contest the final permit action by
the Agency under this Section shall pay a filing fee.
(e) The Agency shall notify USEPA, in writing, of any petition for hearing
brought under this Section involving a provision or denial of a Phase II acid
rain permit within 30 days of the filing of the petition. USEPA may intervene
as a matter of right in any such hearing. The Agency shall notify USEPA, in
writing, of any determination or order in a hearing brought under this Section
that interprets, voids, or otherwise relates to any portion of a Phase II acid
rain permit.
(f) If requested by the applicant, the Board may stay the effectiveness of any final Agency action identified in subsection (a) of this Section during the pendency of the review process. If requested by the applicant, the Board shall stay the effectiveness of all the contested conditions of a CAAPP permit. The Board may stay the effectiveness of any or all uncontested conditions if the Board determines that the uncontested conditions would be affected by its review of contested conditions. If the Board stays any, but not all, conditions, then the applicant shall continue to operate in accordance with any related terms and conditions of any other applicable permits until final Board action in the review process. If the Board stays all conditions, then the applicant shall continue to operate in accordance with all related terms and conditions of any other applicable permits until final Board action in the review process. Any stays granted by the Board shall be deemed effective upon the date of final Agency action appealed by the applicant under this subsection (f). Subsection (b) of Section 10-65 of the Illinois Administrative Procedure Act shall not apply to actions under this subsection. (Source: P.A. 96-934, eff. 6-21-10.)
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(415 ILCS 5/40.3) Sec. 40.3. Review process for PSD permits. (a) (1) Subsection (a) of Section 40 does not apply to any PSD permit that is subject to subsection (c) of Section 9.1 of this Act. If the Agency refused to grant or grants with conditions a PSD permit, the applicant may, within 35 days after final permit action, petition for a hearing before the Board to contest the decision of the Agency. If the Agency fails to act on an application for a PSD permit within the time frame specified in paragraph (3) of subsection (f) of Section 39 of this Act, the applicant may, before the Agency denies or issues the final permit, petition for a hearing before the Board to compel the Agency to act on the application in a time that is deemed reasonable. (2) Any person who participated in the public comment process and is either aggrieved or has an interest that is or may be adversely affected by the PSD permit may, within 35 days after final permit action, petition for a hearing before the Board to contest the decision of the Agency. If the petitioner failed to participate in the public comment process, the person may still petition for a hearing, but only upon issues where the final permit conditions reflect changes from the proposed draft permit. The petition shall: (i) include such facts as necessary to demonstrate that the petitioner is aggrieved or has an interest that is or may be adversely affected; (ii) state the issues proposed for review, citing to the record where those issues were raised or explaining why such issues were not required to be raised during the public comment process; and (iii) explain why the Agency's previous response, if any, to those issues is (A) clearly erroneous or (B) an exercise of discretion or an important policy consideration that the Board should, in its discretion, review. The Board shall hold a hearing upon a petition to contest the decision of the Agency under this paragraph (a)(2) unless the request is determined by the Board to be frivolous or to lack facially adequate factual statements required in this paragraph (a)(2). The Agency shall appear as respondent in any hearing pursuant to this subsection (a). At such hearing the rules prescribed in Section 32 and subsection (a) of Section 33 of this Act shall apply, and the burden of proof shall be on the petitioner. (b) If there is no final action by the Board within 120 days after the date on which it received the petition, the PSD permit shall not be deemed issued; rather, any party shall be entitled to an Appellate Court order pursuant to subsection (d) of Section 41 of this Act. This period of 120 days shall not run for any period of time, not to exceed 30 days, during which the Board is without sufficient membership to constitute the quorum required by subsection (a) of Section 5 of this Act. The 120-day period shall not be stayed for lack of quorum beyond 30 days, regardless of whether the lack of quorum exists at the beginning of the 120-day period or occurs during the running of the 120-day period. (c) Any person who files a petition to contest the final permit action by the Agency under this Section shall pay the filing fee for petitions for review of permit set forth in Section 7.5. (d)(1) In reviewing the denial or any condition of a PSD permit issued by the Agency pursuant to rules adopted under subsection (c) of Section 9.1 of this Act, the decision of the Board shall be based exclusively on the record before the Agency unless the parties agree to supplement the record. (2) If requested by the applicant, the Board may stay the effectiveness of any final Agency action on a PSD permit application identified in subsection (f) of Section 39 of this Act during the pendency of the review process. In such cases, the Board shall stay the effectiveness of all the contested conditions of the PSD permit and may stay the effectiveness of any or all uncontested conditions only if the Board determines that the uncontested conditions would be affected by its review of contested conditions. Any stays granted by the Board shall be deemed effective upon the date of final Agency action appealed by the applicant under this subsection (d). Subsection (b) of Section 10-65 of the Illinois Administrative Procedure Act shall not apply to actions under this subsection (d). (3) If requested by a party other than the applicant, the Board may stay the effectiveness of any final Agency action on a PSD permit application identified in subsection (f) of Section 39 of this Act during the pendency of the review process. In such cases, the Board may stay the effectiveness of all the contested conditions of the PSD permit and may stay the effectiveness of any or all uncontested conditions only if the Board determines that the uncontested conditions would be affected by its review of contested conditions. The party requesting the stay has the burden of demonstrating the following: (i) that an immediate stay is required in order to preserve the status quo without endangering the public, (ii) that it is not contrary to public policy, and (iii) that there is a reasonable likelihood of success on the merits. Any stays granted by the Board shall be deemed effective upon the date of final Agency action appealed under this subsection (d) and shall remain in effect until a decision is issued by the Board on the petition. Subsection (b) of Section 10-65 of the Illinois Administrative Procedure Act shall not apply to actions under this paragraph.
(Source: P.A. 99-463, eff. 1-1-16 .) |
(415 ILCS 5/Tit. XI heading) TITLE XI:
JUDICIAL REVIEW
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(415 ILCS 5/41) (from Ch. 111 1/2, par. 1041)
Sec. 41. Judicial review.
(a) Any party to a Board hearing, any person who filed a complaint on which
a hearing was denied, any person who has been denied a variance or permit under
this Act, any party adversely affected by a final order or determination of the
Board, and any person who participated in the public comment process under
subsection (8) of Section 39.5 of this Act may obtain judicial review, by
filing a petition for review within 35 days from the date that a copy of the
order or other final action sought to be reviewed was served upon the party
affected by the order or other final Board action complained of, under the
provisions of the Administrative Review Law, as amended and the rules adopted
pursuant thereto, except that review shall be afforded directly in the
Appellate Court for the District in which the cause of action arose and not in
the Circuit Court. For purposes of this subsection (a), the date of service of the Board's final order is the date on which the party received a copy of the order from the Board. Review of any rule or regulation promulgated by the Board
shall not be limited by this Section but may also be had as provided in Section
29 of this Act.
(b) Any final order of the Board under this Act shall be based solely
on the evidence in the record of the particular proceeding involved, and
any such final order for permit appeals, enforcement actions and variance
proceedings, shall be invalid if it is against the manifest weight of the
evidence. Notwithstanding this subsection, the Board may include such
conditions in granting a variance and may adopt such rules and regulations
as the policies of this Act may require. If an objection is made to a
variance condition, the board shall reconsider the condition within not
more than 75 days from the date of the objection.
(c) No challenge to the validity of a Board order shall be made in any
enforcement proceeding under Title XII of this Act as to any issue that
could have been raised in a timely petition for review under this Section.
(d) If there is no final action by the Board within 120 days on a request
for a variance which is subject to subsection (c) of Section 38 or a permit
appeal which is subject to paragraph (a) (3) of Section 40 or paragraph
(d) of Section 40.2 or Section 40.3, the petitioner shall be entitled to an Appellate Court
order under this subsection. If a hearing is required under this Act and was
not held by the Board, the Appellate Court shall order the Board to conduct
such a hearing, and to make a decision within 90 days from the date of the
order. If a hearing was held by the Board, or if a hearing is not required
under this Act and was not held by the Board, the Appellate Court shall order
the Board to make a decision within 90 days from the date of the order.
The Appellate Court shall retain jurisdiction during the pendency of any
further action conducted by the Board under an order by the Appellate Court.
The Appellate Court shall have jurisdiction to review all issues of law and
fact presented upon appeal.
(e) This Section does not apply to orders entered by the Board pursuant to Section 38.5 of this Act. Final orders entered by the Board pursuant to Section 38.5 of this Act are subject to judicial review under subsection (j) of that Section. Interim orders entered by the Board pursuant to Section 38.5 are not subject to judicial review under this Section or Section 38.5. (Source: P.A. 99-463, eff. 1-1-16; 99-934, eff. 1-27-17; 99-937, eff. 2-24-17; 100-863, eff. 8-14-18.)
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(415 ILCS 5/Tit. XII heading) TITLE XII:
PENALTIES
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(415 ILCS 5/42) (from Ch. 111 1/2, par. 1042) Sec. 42. Civil penalties. (a) Except as provided in this Section, any person that violates any
provision of this Act or any regulation adopted by the Board, or any permit
or term or condition thereof, or that violates any order of the Board pursuant
to this Act, shall be liable for a civil penalty of not to exceed
$50,000 for the violation and an additional civil penalty of not to exceed
$10,000 for each day during which the violation continues; such penalties may,
upon order of the Board or a court of competent jurisdiction, be made payable
to the Environmental Protection Trust Fund, to be used in accordance with the
provisions of the Environmental Protection Trust Fund Act. (b) Notwithstanding the provisions of subsection (a) of this Section: (1) Any person that violates Section 12(f) of this | ||
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(2) Any person that violates Section 12(g) of this | ||
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(3) Any person that violates Sections 21(f), 21(g), | ||
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(4) In an administrative citation action under | ||
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(4-5) In an administrative citation action under | ||
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(5) Any person who violates subsection 6 of Section | ||
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(6) Any owner or operator of a community water system | ||
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(7) Any person who violates Section 52.5 of this Act | ||
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(b.5) In lieu of the penalties set forth in subsections (a) and (b) of
this Section, any person who fails to file, in a timely manner, toxic
chemical release forms with the Agency pursuant to Section 25b-2
of this Act
shall be liable for a civil penalty of $100 per day for
each day the forms are
late, not to exceed a maximum total penalty of $6,000. This daily penalty
shall begin accruing on the thirty-first day after the
date that the person receives the warning notice issued by the Agency pursuant
to Section 25b-6 of this Act; and the penalty shall be paid to the Agency. The
daily accrual of penalties shall cease as of January 1 of the following year.
All penalties collected by the Agency pursuant to this subsection shall be
deposited into the Environmental Protection Permit and Inspection Fund. (c) Any person that violates this Act, any rule or regulation adopted under
this Act, any permit or term or condition of a permit, or any Board order and
causes the death of fish
or aquatic life shall, in addition to the other penalties provided by
this Act, be liable to pay to the State an additional sum for the
reasonable value of the fish or aquatic life destroyed. Any money so
recovered shall be placed in the Wildlife and Fish Fund in the State
Treasury. (d) The penalties provided for in this Section may be recovered in a
civil action. (e) The State's Attorney of the county in which the violation
occurred, or the Attorney General, may, at the request of the Agency or
on his own motion, institute a civil action for an injunction, prohibitory or mandatory, to
restrain violations of this Act, any rule or regulation adopted under this Act,
any permit or term or condition of a permit, or any Board order, or to require such other actions as may be necessary to address violations of this Act, any rule or regulation adopted under this Act, any permit or term or condition of a permit, or any Board order. (f) The State's Attorney of the county in which the violation
occurred, or the Attorney General, shall bring such actions in the name
of the people of the State of Illinois.
Without limiting any other authority which may exist for the awarding
of attorney's fees and costs, the Board or a court of competent
jurisdiction may award costs and reasonable attorney's fees, including the
reasonable costs of expert witnesses and consultants, to the State's
Attorney or the Attorney General in a case where he has prevailed against a
person who has committed a willful, knowing, or repeated violation of this Act,
any rule or regulation adopted under this Act, any permit or term or condition
of a permit, or any Board order. Any funds collected under this subsection (f) in which the Attorney
General has prevailed shall be deposited in the
Hazardous Waste Fund created in Section 22.2 of this Act. Any funds
collected under this subsection (f) in which a State's Attorney has
prevailed shall be retained by the county in which he serves. (g) All final orders imposing civil penalties pursuant to this Section
shall prescribe the time for payment of such penalties. If any such
penalty is not paid within the time prescribed, interest on such penalty
at the rate set forth in subsection (a) of Section 1003 of the Illinois Income
Tax Act, shall be paid for the period from the date payment is due until the
date payment is received. However, if the time for payment is stayed during
the pendency of an appeal, interest shall not accrue during such stay. (h) In determining the appropriate civil penalty to be imposed under
subdivisions (a), (b)(1), (b)(2), (b)(3), (b)(5), (b)(6), or (b)(7) of this
Section, the Board is authorized to consider any matters of record in
mitigation or aggravation of penalty, including, but not limited to, the
following factors: (1) the duration and gravity of the violation; (2) the presence or absence of due diligence on the | ||
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(3) any economic benefits accrued by the respondent | ||
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(4) the amount of monetary penalty which will serve | ||
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(5) the number, proximity in time, and gravity of | ||
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(6) whether the respondent voluntarily | ||
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(7) whether the respondent has agreed to undertake a | ||
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(8) whether the respondent has successfully completed | ||
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In determining the appropriate civil penalty to be imposed under subsection
(a) or paragraph (1), (2), (3), (5), (6), or (7) of subsection (b) of this Section, the
Board shall ensure, in all cases, that the penalty is at least as great as the
economic benefits, if any, accrued by the respondent as a result of the
violation, unless the Board finds that imposition of such penalty would result
in an arbitrary or unreasonable financial hardship. However, such civil
penalty
may be off-set in whole or in part pursuant to a supplemental
environmental project agreed to by the complainant and the respondent. (i) A person who voluntarily self-discloses non-compliance to the Agency,
of which the Agency had been unaware, is entitled to a 100% reduction in the
portion of the penalty that is not based on the economic benefit of
non-compliance if the person can
establish the following: (1) that either the regulated entity is a small | ||
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(2) that the non-compliance was disclosed in writing | ||
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(3) that the non-compliance was discovered and | ||
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(i) the commencement of an Agency inspection, | ||
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(ii) notice of a citizen suit; (iii) the filing of a complaint by a citizen, the | ||
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(iv) the reporting of the non-compliance by an | ||
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(v) imminent discovery of the non-compliance by | ||
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(4) that the non-compliance is being corrected and | ||
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(5) that the person agrees to prevent a recurrence of | ||
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(6) that no related non-compliance events have | ||
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(7) that the non-compliance did not result in serious | ||
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(8) that the person cooperates as reasonably | ||
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(9) that the non-compliance was identified | ||
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If a person can establish all of the elements under this subsection except
the element set forth in paragraph (1) of this subsection, the person is
entitled to a 75% reduction in the portion of the penalty that is not based
upon the economic benefit of non-compliance. For the purposes of this subsection (i), "small entity" has the same meaning as in Section 221 of the federal Small Business Regulatory Enforcement Fairness Act of 1996 (5 U.S.C. 601). (j) In addition to any other remedy or penalty that may
apply, whether civil or criminal, any person who violates Section 22.52 of this Act shall be liable for an additional civil penalty of up to 3 times the gross amount of any pecuniary gain resulting from the violation.
(k) In addition to any other remedy or penalty that may apply, whether civil or criminal, any person who violates subdivision (a)(7.6) of Section 31 of this Act shall be liable for an additional civil penalty of $2,000. (Source: P.A. 102-310, eff. 8-6-21.) |
(415 ILCS 5/43) (from Ch. 111 1/2, par. 1043)
Sec. 43.
(a) In circumstances of substantial danger to the environment or
to the public health of persons or to the welfare of persons where such
danger is to the livelihood of such persons, the State's Attorney or
Attorney General, upon request of the Agency or on his own motion, may
institute a civil action for an immediate injunction to halt any
discharge or other activity causing or contributing to the danger or to
require such other action as may be necessary. The court may issue an ex
parte order and shall schedule a hearing on the matter not later than 3
working days from the date of injunction.
(b) If any term or condition of an NPDES permit issued under this
Act for discharges from a publicly owned or publicly regulated sewage
works is violated, the use of the sewage works by a contaminant source
not using the works prior to a finding that the condition was violated:
(i) may be prohibited by the public body owning or regulating such
sewage works, pursuant to State law or local ordinance; or
(ii) may be prohibited or restricted under the provisions of Title
VIII of this Act; or
(iii) the State's Attorney of the county in which the violation
occurred, or the Attorney General, at the request of the Agency or on
his own motion, may proceed in a court of competent jurisdiction to
secure such relief.
(c) If an industrial user of a publicly owned or publicly regulated
sewage works is not in compliance with a system of user charges required
under State law or local ordinance or regulations or as a term or
condition of any NPDES permit issued under this Act to the sewage works
into which the user is discharging contaminants, the system of charges
may be enforced directly against the industrial user--
(i) by the public body owning or regulating such sewage works,
pursuant to State law or local ordinance; or
(ii) under the provisions of Title VIII of this Act; or
(iii) the State's Attorney of the county in which the violation
occurred, or the Attorney General, at the request of the Agency or on
his own motion, may proceed in a court of competent jurisdiction to
secure such relief.
(Source: P.A. 78-862.)
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(415 ILCS 5/44) (from Ch. 111 1/2, par. 1044)
Sec. 44. Criminal acts; penalties.
(a) Except as otherwise provided in this Section, it shall be
a Class A misdemeanor to violate this Act or
regulations thereunder, or any permit or term or condition thereof, or
knowingly to submit any false information under this Act or regulations
adopted thereunder, or under any permit or term or condition thereof.
A court may, in addition to any other penalty herein imposed, order a person
convicted of any violation of this Act to perform
community service for not less than 100 hours and not more than 300 hours if
community service is available in the jurisdiction.
It shall be the duty of all State and local law-enforcement officers to
enforce such Act and regulations, and all such officers shall have
authority to issue citations for such violations.
(b) Calculated Criminal Disposal of Hazardous Waste.
(1) A person commits the offense of Calculated | ||
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(2) Calculated Criminal Disposal of Hazardous Waste | ||
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(c) Criminal Disposal of Hazardous Waste.
(1) A person commits the offense of Criminal Disposal | ||
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(2) Criminal Disposal of Hazardous Waste is a Class 3 | ||
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(d) Unauthorized Use of Hazardous Waste.
(1) A person commits the offense of Unauthorized Use | ||
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(A) treats, transports, or stores any hazardous | ||
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(B) treats, transports, or stores any hazardous | ||
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(C) transports any hazardous waste to a facility | ||
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(D) transports by vehicle any hazardous waste | ||
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(2) A person who is convicted of a violation of | ||
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(e) Unlawful Delivery of Hazardous Waste.
(1) Except as authorized by this Act or the federal | ||
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(2) Unlawful Delivery of Hazardous Waste is a Class 3 | ||
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(3) For purposes of this Section, "deliver" or | ||
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(f) Reckless Disposal of Hazardous Waste.
(1) A person commits Reckless Disposal of Hazardous | ||
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(2) Reckless Disposal of Hazardous Waste is a Class 4 | ||
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(g) Concealment of Criminal Disposal of Hazardous Waste.
(1) A person commits the offense of Concealment of | ||
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(2) Concealment of Criminal Disposal of a Hazardous | ||
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(h) Violations; False Statements.
(1) Any person who knowingly makes a false material | ||
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(2) Any person who knowingly makes a false material | ||
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(3) Any person who knowingly destroys, alters, or | ||
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(4) Any person who knowingly makes a false material | ||
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(4.5) Any person who knowingly makes a false material | ||
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(5) Any person who knowingly destroys, alters, or | ||
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(6) A person who knowingly and falsely certifies | ||
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(7) In addition to any other penalties prescribed by | ||
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(8) Any person who knowingly makes a false, | ||
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(i) Verification.
(1) Each application for a permit or license to | ||
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(2) Each request for money from the Underground | ||
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(j) Violations of Other Provisions.
(1) It is unlawful for a person knowingly to violate:
(A) subsection (f) of Section 12 of this Act;
(B) subsection (g) of Section 12 of this Act;
(C) any term or condition of any Underground | ||
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(D) any filing requirement, regulation, or order | ||
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(E) any provision of any regulation, standard, or | ||
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(F) any provision of any regulation, standard, or | ||
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(G) any National Pollutant Discharge Elimination | ||
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(H) subsection (h) of Section 12 of this Act;
(I) subsection 6 of Section 39.5 of this Act;
(J) any provision of any regulation, standard or | ||
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(K) a provision of the Procedures for Asbestos | ||
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(L) the standard for waste disposal for | ||
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(2) A person convicted of a violation of subdivision | ||
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(3) A person who negligently violates the following | ||
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(A) subsection (f) of Section 12 of this Act;
(B) subsection (g) of Section 12 of this Act;
(C) any provision of any regulation, standard, or | ||
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(D) any provision of any regulation, standard, or | ||
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(E) any National Pollutant Discharge Elimination | ||
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(F) subsection 6 of Section 39.5 of this Act; or
(G) any provision of any regulation, standard, or | ||
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(4) It is unlawful for a person knowingly to:
(A) make any false statement, representation, or | ||
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(B) render inaccurate any monitoring device or | ||
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(C) make any false statement, representation, or | ||
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(D) render inaccurate any monitoring device or | ||
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(E) violate subsection 6 of Section 39.5 of this | ||
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(5) A person convicted of a violation of paragraph | ||
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(k) Criminal operation of a hazardous waste or PCB incinerator.
(1) A person commits the offense of criminal | ||
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(2) Any person who commits the offense of criminal | ||
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Any person who commits the offense of criminal | ||
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(3) For the purpose of this subsection (k), the term | ||
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(l) It shall be the duty of all State and local law enforcement officers
to enforce this Act and the regulations adopted hereunder, and all such
officers shall have authority to issue citations for such violations.
(m) Any action brought under this Section shall be brought by the
State's Attorney of the county in which the violation occurred, or by the
Attorney General, and shall be conducted in accordance with the applicable
provisions of the Code of Criminal Procedure of 1963.
(n) For an offense described in this Section, the period for
commencing prosecution prescribed by the statute of limitations shall not
begin to run until the offense is discovered by or reported to a State or
local agency having the authority to investigate violations of this Act.
(o) In addition to any other penalties provided under this
Act, if a person is convicted of (or agrees to a settlement in an enforcement
action over) illegal dumping of waste on the person's own property, the
Attorney General, the Agency, or local prosecuting authority shall file notice
of the conviction, finding, or agreement in the office of the Recorder in the
county in which the landowner lives.
(p) Criminal Disposal of Waste.
(1) A person commits the offense of Criminal Disposal | ||
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(A) if required to have a permit under subsection | ||
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(B) knowingly conducts open dumping of waste in | ||
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(2) (A) A person who is convicted of a violation of | ||
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(B) A person who is convicted of a violation of | ||
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(q) Criminal Damage to a Public Water Supply. (1) A person commits the offense of Criminal Damage | ||
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(2) Criminal Damage to a Public Water Supply is a | ||
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(r) Aggravated Criminal Damage to a Public Water Supply. (1) A person commits the offense of Aggravated | ||
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(2) Aggravated Criminal Damage to a Public Water | ||
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(Source: P.A. 97-220, eff. 7-28-11; 97-286, eff. 8-10-11; 97-813, eff. 7-13-12; 97-1150, eff. 1-25-13; 98-822, eff. 8-1-14.)
|
(415 ILCS 5/44.1)
Sec. 44.1.
(a) In addition to all other civil and criminal penalties
provided by law, any person convicted of a criminal violation of this Act
or the regulations adopted thereunder shall forfeit to the State
(1) an amount equal to the value of all profits earned, savings realized,
and benefits incurred as a direct or indirect result of such violation, and
(2) any vehicle or conveyance used in the perpetration of such violation,
except as provided in subsection (b).
(b) Forfeiture of conveyances shall be subject to the following exceptions:
(1) No conveyance used by any person as a common | ||
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(2) No conveyance is subject to forfeiture under this | ||
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(3) A forfeiture of a conveyance encumbered by a bona | ||
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(c) Except as provided in subsection (d), all property subject to
forfeiture under this Section shall be seized pursuant to the order of a circuit court.
(d) Property subject to forfeiture under this Section may be seized by
the Director or any peace officer without process:
(1) if the seizure is incident to an inspection under | ||
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(2) if the property subject to seizure has been the | ||
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(3) if there is probable cause to believe that the | ||
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(e) Property taken or detained under this Section shall not be subject
to eviction or replevin, but is deemed to be in the
custody of the Director subject only to the order and judgments of the
circuit court having jurisdiction over the forfeiture proceedings. When
property is seized under this Act, the Director may:
(1) place the property under seal;
(2) secure the property or remove the property to a | ||
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(3) require the sheriff of the county in which the | ||
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(f) All amounts forfeited under item (1) of subsection (a) shall be
apportioned in the following manner:
(1) 40% shall be deposited in the Hazardous Waste | ||
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(2) 30% shall be paid to the office of the Attorney | ||
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(3) 30% shall be paid to the law enforcement agency | ||
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Any funds received under this subsection (f) shall be used solely for the
enforcement of the environmental protection laws of this State.
(g) When property is forfeited under this Section the court may order:
(1) that the property shall be made available for the | ||
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(2) the sheriff of the county in which the forfeiture | ||
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(3) the sheriff of the county in which the forfeiture | ||
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(h) Property seized or forfeited under this Section is subject to reporting under the Seizure and Forfeiture Reporting Act. (Source: P.A. 100-173, eff. 1-1-18; 100-512, eff. 7-1-18; 100-863, eff. 8-14-18.) |
(415 ILCS 5/45) (from Ch. 111 1/2, par. 1045)
Sec. 45.
Injunctive and other relief.
(a) No existing civil or criminal remedy for any wrongful
action shall be excluded or impaired by this Act. Nothing in this Act shall
be construed to limit or supersede the provisions of the Illinois Oil and
Gas Act and the powers therein granted to prevent the intrusion of water into
oil, gas or coal strata and to prevent the pollution of fresh water supplies by
oil, gas or salt water or oil field wastes, except that water quality standards
as set forth by the Pollution Control Board apply to and are effective within
the areas covered by and affected by permits issued by the Department of
Natural Resources. However, if the Department of Natural Resources fails to
act upon any complaint within a period of 10 working days following the receipt
of a complaint by the Department, the Environmental Protection Agency may
proceed under the provisions of this Act.
(b) Any person adversely affected in fact by a violation of this Act,
any rule or regulation adopted under this Act, any permit or term or
condition of a permit, or any Board order may sue for injunctive relief
against such violation. However, except as provided in subsections (d) and (e), no action shall be brought under this Section
until 30 days after the plaintiff has been denied relief by the Board in a
proceeding brought under subdivision (d)(1) of Section
31 of this Act. The prevailing party shall be awarded costs and reasonable
attorneys' fees.
(c) Nothing in Section 39.4 of this Act shall limit the authority
of the Agency to proceed with enforcement under the provisions of this Act
for violations of terms and conditions of an endorsed agrichemical facility
permit, an endorsed lawncare containment permit, or this Act or regulations
hereunder caused or threatened by an agrichemical facility or a lawncare wash
water containment area, provided that prior notice is given to the Department
of Agriculture which provides that Department an opportunity to respond as
appropriate.
(d) If the State brings an action under this Act against a person
with an interest in real property upon which the person is alleged to have
allowed open dumping or open burning by a third party in violation of this
Act, which action seeks to compel the defendant to remove the waste or
otherwise clean up the site, the defendant may, in the manner provided by
law for third-party complaints, bring in as a third-party defendant a
person who with actual knowledge caused or contributed to the illegal open
dumping or open burning, or who is or may be liable for all or part of the
removal and cleanup costs. The court may include any of the parties which
it determines to have, with actual knowledge, allowed, caused or
contributed to the illegal open dumping or open burning in any order that
it may issue to compel removal of the waste and cleanup of the site, and
may apportion the removal and cleanup costs among such parties, as it deems
appropriate. However, a person may not seek to recover any fines or civil
penalties imposed upon him under this Act from a third-party defendant in
an action brought under this subsection.
(e) A final order issued by the Board pursuant to Section 33 of this
Act may be enforced through a civil action for injunctive or other relief
instituted by a person who was a party to the Board enforcement proceeding
in which the Board issued the final order.
(Source: P.A. 92-574, eff. 6-26-02; 93-152, eff. 7-10-03.)
|
(415 ILCS 5/Tit. XIII heading) TITLE XIII:
MISCELLANEOUS PROVISIONS
|
(415 ILCS 5/46) (from Ch. 111 1/2, par. 1046)
Sec. 46.
(a) Any municipality, sanitary district, county or other
public body created by or pursuant to State law and having jurisdiction
over disposal of sewage, industrial wastes, or other wastes, which has
been directed by an order issued by the Board or by the circuit court to
abate any violation of this Act or of any regulation adopted thereunder
shall, unless such order be set aside upon review, take steps for the
acquisition or construction of such facilities, or for such repair,
alteration, extension or completion of existing facilities, or for such
modification of existing practices as may be necessary to comply with
the order. The cost of the acquisition, construction, repair,
alteration, completion, or extension of such facilities, or of such
modification of practices shall be paid out of funds on hand available
for such purposes, or out of the general funds of such public body not
otherwise appropriated.
If funds on hand or unappropriated are insufficient for the purposes
of this Section, the necessary funds shall be raised by the issuance of
either general obligation or revenue bonds. If the estimated cost of
the steps necessary to be taken by such public body to comply with such
order is such that the bond issue, necessary to finance such project,
would not raise the total outstanding bonded indebtedness of such public
body in excess of any limit which may be imposed upon such indebtedness,
the necessary bonds may be issued as a direct obligation of such public
body and retired pursuant to general law governing the issue of such
bonds. No election or referendum shall be necessary for the issuance of
bonds under this Section.
The funds made available by the issuance of direct obligation or
revenue bonds as herein provided shall constitute a Sanitary Fund, and
shall be used for no other purpose than for carrying out such order or
orders of the Board.
The Attorney General shall enforce this provision of the Act by an
action for mandamus, injunction, or other appropriate relief.
Any general obligation bonds issued under this Section, or any revenue
bonds
issued under this Section as limited bonds pursuant to Section 15.01 of the
Local
Government Debt Reform Act, are subject to the requirements of the Bond Issue
Notification Act.
(b) In order to be eligible for federal grants for construction of
sewage works pursuant to Section 201(g) of the Federal Water Pollution
Control Act, as now or hereafter amended, any sanitary district,
drainage district, municipality, county, special district or other unit
of local government established pursuant to State law, that owns or
operates sewage works may adopt, in accordance with such unit's
statutory procedures, ordinances or regulations to provide for systems
of proportionate cost sharing for operation and maintenance by
recipients of such unit's waste treatment services, to provide for
payments by industrial users of costs of sewage works construction
allocable to the treatment of industrial wastes, and to provide such
other capabilities as may be necessary to comply with Sections 204(b),
307, and 308 of the Federal Water Pollution Control Act, as now or
hereafter amended.
(c) In order to comply with Section 307 of the Federal Water Pollution
Control Act, as now or hereafter amended, and regulations promulgated
thereunder, the units of local government
identified in subsection (b) of this Section may adopt, in accordance with
such unit's statutory procedures, ordinances or regulations to enable the
unit of government, as regards industrial users of sewage works, to control
through permit, contract, order or similar means, the nature and amount
of pollutants discharged to the sewage works, to require compliance with
applicable pretreatment standards and requirements, to require compliance
schedules and the submission of notices and self-monitoring reports related
thereto, to carry out inspection and monitoring procedures in order to
determine compliance or noncompliance with the applicable pretreatment
standards and requirements, to obtain remedies including, but not limited
to, injunctive relief and civil and criminal penalties for noncompliance
with pretreatment standards and requirements, and to provide such other
capabilities as may be necessary to comply with Section 307 of the
Federal Water Pollution Control Act, as now or hereafter amended, and
regulations
promulgated thereunder.
(Source: P.A. 89-655, eff. 1-1-97.)
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(415 ILCS 5/47) (from Ch. 111 1/2, par. 1047)
Sec. 47.
(a) The State of Illinois and all its agencies, institutions,
officers and subdivisions shall comply with all requirements, prohibitions,
and other provisions of the Act and of regulations adopted thereunder.
(b) (Blank).
(c) (Blank).
(Source: P.A. 97-220, eff. 7-28-11.)
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(415 ILCS 5/48) (from Ch. 111 1/2, par. 1048)
Sec. 48.
(a) Whenever the Board has adopted regulations respecting the
equipment, specifications, use, inspection, or sale of vehicles, vessels,
or aircraft, no department or agency shall license any such vehicles,
vessels, or aircraft for operation in this State in the absence of such
proof as the Board may prescribe that the equipment in question satisfies
the Board's regulations.
(b) Whenever the Board has adopted regulations limiting vehicle, vessel,
or aircraft operations to essential or other classes of use under certain
conditions, the department or agency responsible for the licensing shall
issue indicia of such use, subject to standards prescribed by the Board,
for each vehicle, vessel, or aircraft qualifying therefor.
(Source: P.A. 76-2429.)
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(415 ILCS 5/49) (from Ch. 111 1/2, par. 1049)
Sec. 49.
Proceedings governed by Act; compliance as defense.
(a) (Blank.)
(b) All proceedings respecting acts done before the effective date of
this Act shall be determined in accordance with the law and regulations in
force at the time such acts occurred. All proceedings instituted for
actions taken after the effective date of this Act (July 1, 1970) shall
be governed by this Act.
(c) (Blank.)
(d) (Blank.)
(e) Compliance with the rules and regulations promulgated by the Board
under this Act shall constitute a prima facie defense to any action, legal,
equitable, or criminal, or an administrative proceeding for a violation of
this Act, brought by any person.
(Source: P.A. 92-574, eff. 6-26-02.)
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(415 ILCS 5/50) (from Ch. 111 1/2, par. 1050)
Sec. 50.
(Repealed).
(Source: P.A. 76-2429. Repealed by P.A. 92-574, eff. 6-26-02.)
|
(415 ILCS 5/51) (from Ch. 111 1/2, par. 1051)
Sec. 51.
If any Section, subsection, sentence or clause of this Act shall be
adjudged unconstitutional, such adjudication shall not affect the validity
of the Act as a whole or of any Section, subsection, sentence or clause
thereof not adjudged unconstitutional.
(Source: P.A. 76-2429.)
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(415 ILCS 5/52) (from Ch. 111 1/2, par. 1052)
Sec. 52.
(a) No person shall fire, or in any other way discriminate
against, or cause to be fired or discriminated against, any employee or any
authorized representative of employees by reason of the fact that such employee
or representative has filed, instituted, or caused to be filed or instituted
any proceeding under this Act, or has testified or is about to testify
in any proceeding resulting from the administration or enforcement of the
provisions of this Act, or offers any evidence of any violation of this Act.
(b) Any employee or a representative of employees who believes that he has
been fired or otherwise discriminated against by any person in violation
of subsection (a) of this Section may, within 30 days after such alleged
violation occurs, apply to the Director of the Department of Labor for a
review of such firing or alleged discrimination. A copy of the application
shall be sent to such person who shall be the respondent. Upon receipt of
such application, the Director of the Department
of Labor shall cause such investigation to be made as he deems appropriate.
Such investigation shall provide an opportunity for a public hearing at
the request of any party to such review to enable the parties to present
information relating to such alleged violation. The parties shall be given
written notice of the time and place of the hearing at least 5 days prior
to the hearing. Upon receiving the report of such investigation, the Director
shall make findings of fact. If he finds that such violation did occur,
he shall issue a decision, incorporating an order therein of his findings,
requiring the party committing such violation to take such affirmative action
to abate the violation as the Director deems appropriate, including, but
not limited to, the rehiring or reinstatement of the employee or representative
of employees to his former position and shall be fully compensated for the
time he was unemployed. If he finds that there was no such violation, he
shall issue an order denying the application. Such order issued by the
Director under this subparagraph shall be subject to
judicial review under the Administrative Review Law, and all amendments
and modifications thereof.
(c) Whenever an order is issued under this Section to abate such violation,
at the request of the applicant a sum equal to the aggregate amount of all
costs and expenses (including attorney's fees) as determined by the Director
to have been reasonably incurred by the applicant for or in connection with
the commencement and prosecution of such proceedings shall be assessed against
the person committing such violation.
(d) This Section shall not apply to any employee who, acting without
direction from his employer, or his agents, deliberately fails to comply
with any requirement of this Act.
(Source: P.A. 83-1079.)
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(415 ILCS 5/52.2)
Sec. 52.2. (Repealed).
(Source: P.A. 88-690, eff. 1-24-95. Repealed by P.A. 94-580, eff. 8-12-05.)
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(415 ILCS 5/52.3-1)
Sec. 52.3-1.
Findings; purpose.
(a) The General Assembly finds that:
(1) During the last decade, considerable expertise in | ||
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(2) Substantial opportunities exist to reduce the | ||
| ||
(3) There are persons regulated under this Act who | ||
| ||
(4) Current environmental laws and regulations have, | ||
| ||
(5) The goals of environmental protection will be | ||
| ||
(6) The United States Environmental Protection Agency | ||
| ||
(7) A process for implementing and evaluating | ||
| ||
(b) It is the purpose of this Section to create a voluntary pilot program by
which the Agency may enter into Environmental Management System Agreements with
persons regulated under this Act to implement innovative environmental measures
not otherwise recognized or allowed under existing laws and regulations of this
State if those measures:
(1) achieve emissions reductions or reductions in | ||
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(2) achieve real environmental risk reduction or | ||
| ||
These Agreements may be executed with participants in the Federal
Performance Track Program if the provisions are acceptable to
the Agency.
(c) This program is a voluntary pilot program.
Participation is at the discretion of the Agency, and any decision by the
Agency to reject an initial proposal under this Section is not appealable. An
initial Agreement may be renewed for
appropriate time
periods if the Agency finds the Agreement continues
to
meet applicable requirements and the purposes of this Section.
(d) The Agency shall develop and make publicly available a program guidance
document regarding participation in the pilot program. A draft document shall
be distributed for review and comment by interested parties and a final
document shall be completed by December 1, 1996. At a minimum, this document
shall include the following:
(1) The approximate number of projects that the | ||
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(2) The types of projects and facilities that the | ||
| ||
(3) A description of potentially useful environmental | ||
| ||
(4) A description of suitable Environmental | ||
| ||
(5) A description of practices and procedures to | ||
| ||
(6) A characterization of less-preferred practices | ||
| ||
(7) A description of suitable practices for | ||
| ||
(e) The Agency has the authority to develop and distribute written guidance,
fact sheets, or other documents that explain, summarize, or describe programs
operated under this Act or regulations. The written guidance, fact sheets, or
other documents shall not be considered rules and shall not be subject to the
Illinois Administrative Procedure Act.
(Source: P.A. 92-397, eff. 1-1-02; 93-171, eff. 7-10-03.)
|
(415 ILCS 5/52.3-2)
Sec. 52.3-2.
Agency authority; scope of agreement.
(a) The Agency may enter into an initial Environmental Management System
Agreement with any person regulated under this Act to implement innovative
environmental measures that relate to or involve provisions of this Act, even
if one or more of the terms of such an Agreement would be inconsistent with an
otherwise applicable statute or regulation of this State. Participation in
this program is limited to those persons who have submitted an Environmental
Management System Agreement that is acceptable to the Agency and who are not
currently subject to enforcement action under this Act.
(b) The Agency may adopt rules to implement this Section. Without limiting the generality of this
authority, those regulations may, among other things:
(1) Specify the criteria an applicant must meet to | ||
| ||
(2) Specify the minimum contents of a proposed | ||
| ||
(A) requiring identification of all State and | ||
| ||
(B) requiring identification of all statutes, | ||
| ||
(C) requiring a statement of how the proposed | ||
| ||
(D) requiring identification of those members of | ||
| ||
(E) requiring identification of how a participant | ||
| ||
(3) Specify the procedures for review by the Agency | ||
| ||
(4) Specify the procedures for public participation | ||
| ||
(5) Specify the procedures for voluntary termination | ||
| ||
(6) Specify the type of performance guarantee to be | ||
| ||
(c) The Agency shall propose by December 31, 1996, and the Board shall
promulgate, criteria and
procedures for involuntary termination of Environmental Management System
Agreements. The Board shall complete such rulemaking no later than 180 days
after receipt of the Agency's proposal.
(d) After July 1, 2003, the Agency
may enter into an initial Environmental Management System Agreement with
any participant in the Federal Performance Track Program, in accordance with the following:
(1) The participant submits, in writing, a proposed | ||
| ||
(1.5) The Agency shall provide notice to the public, | ||
| ||
(2) The Agency shall have 120 days after the public | ||
| ||
(3) Failure to execute an agreement shall be deemed a | ||
| ||
(4) A rejection of a proposed Environmental | ||
| ||
(Source: P.A. 92-397, eff. 1-1-02; 93-171, eff. 7-10-03.)
|
(415 ILCS 5/52.3-3)
Sec. 52.3-3.
Effect of Environmental Management System Agreements.
(a) An Environmental Management System Agreement shall operate in lieu of
all applicable requirements under Illinois and federal environmental statutes,
regulations, and existing permits that are identified in the Agreement. Any
environmental statute, regulation, or condition in an existing permit that
differs from a term or condition in an Agreement shall cease to apply from the
effective date of an initial or renewed Agreement until it is terminated or
expires.
(b) Notwithstanding the other provisions of this Section, no Agreement
entered
into by the Agency may allow a participant to cause air or water pollution or
an unauthorized release in violation of this Act.
(c) Nothing in this Section shall reduce, eliminate, or in any way affect
any fees that a participant in this program may be subject to under any
federal environmental statute or regulation or under this Act or any
rule promulgated hereunder.
(d) Applicants for participation in the Environmental Management System
Agreement Program shall pay all costs associated with public
notice and hearings.
(Source: P.A. 89-465, eff. 6-13-96.)
|
(415 ILCS 5/52.3-4)
Sec. 52.3-4.
Performance assurance.
(a) The Agency shall ensure that each Environmental Management System
Agreement contains appropriate provisions for performance assurance.
Those provisions may specify types of performance guarantees to be provided by
the participant to assure performance of the terms and conditions of the
Agreement.
(b) In the case of deficient performance of any term or condition in an
Environmental Management System Agreement that prevents achievement of the
stated purposes in subsection (b) of Section 52.3-1, the Agency may terminate
the Agreement and the participant may be subject to enforcement in accordance
with the provisions of Section 31 or 42 of this Act.
(b-5) The Agency may terminate an Agreement executed pursuant to
subsection
(d) of Section 52.3-1 if participation in the Federal Performance Track Program
ceases.
(c) If the Agreement is terminated, the facility shall
have sufficient time to apply for and receive any necessary permits to continue
the operations in effect during the course of the Environmental Management
Systems Agreement. Any such application shall also be deemed a timely and
complete application for renewal of an existing permit under applicable law.
(d) The Agency may adopt rules that are necessary to carry out its
duties under this Section including, but not limited to, rules that provide
mechanisms for alternative dispute resolution and performance assurance.
(e) Nothing in this Section shall limit the authority or ability of a
State's Attorney or the Attorney General to proceed pursuant to Section 43(a)
of this Act, or to enforce Section 44 or 44.1 of this Act, except that for the
purposes of enforcement under Section 43(a), 44, or 44.1, an Agreement shall be
deemed to be a permit issued under this Act to engage in activities authorized
under the Agreement.
(Source: P.A. 93-171, eff. 7-10-03.)
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(415 ILCS 5/52.3-5)
Sec. 52.3-5. Effect of amendatory Act of the 96th General Assembly. Nothing contained in this amendatory Act of the 96th General Assembly shall remove any liability for any operation, site, or facility operating without any required legal permit or authorization for activities taking place prior to the effective date of this Act.
(Source: P.A. 96-611, eff. 8-24-09.) |
(415 ILCS 5/52.3-10) Sec. 52.3-10. Effect of amendatory Act of the 96th General Assembly. Nothing contained in this amendatory Act of the 96th General Assembly shall remove any liability for any operation, site, or facility operating without any required legal permit or authorization for activities taking place prior to the effective date of this Act.
(Source: P.A. 96-1068, eff. 7-16-10.) |
(415 ILCS 5/52.5) Sec. 52.5. Microbead-free waters. (a) As used in this Section: "Over the counter drug" means a drug that is a personal care product that contains a label that identifies the product as a drug as required by 21 CFR 201.66. An "over the counter drug" label includes: (1) A drug facts panel; or (2) A statement of the active ingredients with a list | ||
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"Personal care product" means any article intended to be rubbed, poured, sprinkled, or sprayed on, introduced into, or otherwise applied to the human body or any part thereof for cleansing, beautifying, promoting attractiveness, or altering the appearance, and any article intended for use as a component of any such article. "Personal care product" does not include any prescription drugs. "Plastic" means a synthetic material made from linking monomers through a chemical reaction to create an organic polymer chain that can be molded or extruded at high heat into various solid forms retaining their defined shapes during life cycle and after disposal. "Synthetic plastic microbead" means any intentionally added non-biodegradable solid plastic particle measured less than 5 millimeters in size and is used to exfoliate or cleanse in a rinse-off product. (b) The General Assembly hereby finds that microbeads, a synthetic alternative ingredient to such natural materials as ground almonds, oatmeal, and pumice, found in over 100 personal care products, including facial cleansers, shampoos, and toothpastes, pose a serious threat to the State's environment. Microbeads have been documented to collect harmful pollutants already present in the environment and harm fish and other aquatic organisms that form the base of the aquatic food chain. Recently, microbeads have been recorded in Illinois water bodies, and in particular, the waters of Lake Michigan. Although synthetic plastic microbeads are a safe and effective mild abrasive ingredient effectively used for gently removing dead skin, there are recent concerns about the potential environmental impact of these materials. More research is needed on any adverse consequences, but a number of cosmetic manufacturers have already begun a voluntary process for identifying alternatives that allay those concerns. Those alternatives will be carefully evaluated to assure safety and implemented in a timely manner. Without significant and costly improvements to the majority of the State's sewage treatment facilities, microbeads contained in products will continue to pollute Illinois' waters and hinder the recent substantial economic investments in redeveloping Illinois waterfronts and the ongoing efforts to restore the State's lakes and rivers and recreational and commercial fisheries. (c) Effective December 31, 2017, no person shall manufacture for sale a personal care product, except for an over the counter drug, that contains synthetic plastic microbeads as defined in this Section. (d) Effective December 31, 2018, no person shall accept for sale a personal care product, except for an over the counter drug, that contains synthetic plastic microbeads as defined in this Section. (e) Effective December 31, 2018, no person shall manufacture for sale an over the counter drug that contains synthetic plastic microbeads as defined in this Section. (f) Effective December 31, 2019, no person shall accept for sale an over the counter drug that contains synthetic plastic microbeads as defined in this Section.
(Source: P.A. 98-638, eff. 1-1-15 .) |
(415 ILCS 5/52.10) Sec. 52.10. (Repealed).
(Source: P.A. 102-996, eff. 5-27-22. Repealed internally, eff. 12-31-22.) |
(415 ILCS 5/Tit. XIV heading) TITLE XIV.
USED TIRES
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(415 ILCS 5/53) (from Ch. 111 1/2, par. 1053)
Sec. 53.
(a) The General Assembly finds:
(1) that used and waste tires constitute a growing | ||
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(2) that the accumulation of used and waste tires | ||
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(3) that unmanaged used and waste tire sites | ||
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(4) that used and waste tire accumulations pose a | ||
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(5) that State agencies need the ability to remove, | ||
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(6) that used and waste tires may also afford a | ||
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(b) It is the purpose of this Act:
(1) to ensure that used and waste tires are collected | ||
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(2) to provide for the abatement of used and waste | ||
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(3) to encourage the development of used and waste | ||
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(4) to provide for research on disease vectors | ||
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It shall be the policy of the State of Illinois to provide for the
recovery, recycling and reuse of materials from scrap vehicle tires. The following
hierarchy shall be in effect for tires generated for waste management in this State:
(1) Reuse of tire casings for remanufacture or | ||
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(2) Processing of tires into marketable products, | ||
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(3) Total destruction of tires into a uniform product | ||
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(4) Total destruction of tires through primary | ||
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(5) Total destruction of tires to a nonuniform | ||
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(Source: P.A. 86-452; 87-727.)
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(415 ILCS 5/54) (from Ch. 111 1/2, par. 1054)
Sec. 54.
For the purposes of this Title, except as the context otherwise
clearly requires, the words and terms defined in the Sections which follow
this Section and precede Section 55 shall have the meanings given therein.
Words and terms not defined shall have the meanings otherwise set forth in
this Act.
(Source: P.A. 86-452.)
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(415 ILCS 5/54.01) (from Ch. 111 1/2, par. 1054.01)
Sec. 54.01.
"Altered tire" means a used tire which has
been altered so that it is no longer capable of holding accumulations of
water, including, but not limited to, used tires that have been
shredded, chopped, drilled with holes sufficient to assure drainage, slit
longitudinally and stacked so as not to collect water, or wholly or partially
filled with cement or other material to prevent the accumulation of water.
"Alteration" or "altering" means action which produces an altered tire.
(Source: P.A. 86-452.)
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(415 ILCS 5/54.02) (from Ch. 111 1/2, par. 1054.02)
Sec. 54.02.
"Converted tire" means a used tire which has been
manufactured into a usable commodity other than a tire. "Conversion" or
"converting" means action which produces a converted tire. Usable products
manufactured from tires, which products are themselves capable of holding
accumulations of water, shall be deemed to be "converted" if they are
stacked, packaged, boxed, containerized or enclosed in such a manner as to
preclude exposure to precipitation prior to sale or conveyance.
(Source: P.A. 86-452.)
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(415 ILCS 5/54.03) (from Ch. 111 1/2, par. 1054.03)
Sec. 54.03.
"Covered tire" means a used tire located in a
building, vehicle or facility with a roof extending over the tire, or
securely located under a material so as to preclude exposure to precipitation.
(Source: P.A. 86-452.)
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(415 ILCS 5/54.04) (from Ch. 111 1/2, par. 1054.04)
Sec. 54.04.
"Disposal" means the placement of used tires into or on
any land or water except as an integral part of systematic reuse or
conversion in the regular course of business.
(Source: P.A. 86-452.)
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(415 ILCS 5/54.05) (from Ch. 111 1/2, par. 1054.05)
Sec. 54.05.
"New tire" means a tire which has never been placed on a
vehicle wheel rim.
(Source: P.A. 86-452.)
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(415 ILCS 5/54.06) (from Ch. 111 1/2, par. 1054.06)
Sec. 54.06.
"Processing" means the altering, converting or
reprocessing of used or waste tires.
(Source: P.A. 86-452.)
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(415 ILCS 5/54.06a)
Sec. 54.06a.
"Recyclable tire" means a used tire which is free of permanent
physical damage and maintains sufficient tread depth to allow its use through
resale or repairing.
(Source: P.A. 89-200, eff. 1-1-96.)
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(415 ILCS 5/54.07) (from Ch. 111 1/2, par. 1054.07)
Sec. 54.07.
"Reprocessed tire" means a used tire which has been
recapped, retreaded or regrooved and which has not been placed on a
vehicle wheel rim.
(Source: P.A. 86-452.)
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(415 ILCS 5/54.08) (from Ch. 111 1/2, par. 1054.08)
Sec. 54.08.
"Reused tire" means a used tire that is used
again, in part or as a whole, by being employed in a particular function or
application as an effective substitute for a commercial product or
fuel without having been converted.
(Source: P.A. 86-452.)
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(415 ILCS 5/54.09) (from Ch. 111 1/2, par. 1054.09)
Sec. 54.09.
"Storage" means any accumulation of used tires that does
not constitute disposal. At a minimum, such an accumulation
must be an integral part of the systematic alteration, reuse, reprocessing
or conversion of the tires in the regular course of business.
(Source: P.A. 86-452.)
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(415 ILCS 5/54.10) (from Ch. 111 1/2, par. 1054.10)
Sec. 54.10.
"Tire" means a hollow ring, made of rubber or similar
materials, which was manufactured for the purpose of being placed on the
wheel rim of a vehicle.
(Source: P.A. 86-452.)
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(415 ILCS 5/54.10a)
Sec. 54.10a.
"Tire carcass" means the internal part of a used tire
containing the plies, beads, and belts suitable for retread or remanufacture.
(Source: P.A. 89-200, eff. 1-1-96.)
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(415 ILCS 5/54.10b)
Sec. 54.10b.
"Tire derived fuel" means a product made from used tires to
exact specifications of a system designed to accept a tire derived fuel as a
primary or supplemental fuel source.
(Source: P.A. 89-200, eff. 1-1-96.)
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(415 ILCS 5/54.11) (from Ch. 111 1/2, par. 1054.11)
Sec. 54.11.
"Tire disposal site" means a site where used tires have
been disposed of other than a sanitary landfill permitted by the Agency.
(Source: P.A. 86-452.)
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(415 ILCS 5/54.11a)
Sec. 54.11a.
"Tire retreader" means a person or firm that retreads or
remanufactures tires.
(Source: P.A. 89-200, eff. 1-1-96.)
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(415 ILCS 5/54.12) (from Ch. 111 1/2, par. 1054.12)
Sec. 54.12.
"Tire storage site" means a site where used tires are
stored or processed, other than (1) the site at which the tires were separated
from the vehicle wheel rim, (2) the site where the used tires were accepted
in trade as part of a sale of new tires, or (3) a site at which tires are sold
at retail in the regular course of business, and at
which not more than 250 used tires are kept at any time or (4) a facility at
which tires are sold at retail provided that the facility maintains less than
1300 recyclable tires, 1300 tire carcasses, and 1300 used tires on site and
those tires are stored inside a building or so that they are
prevented from accumulating water.
(Source: P.A. 92-24, eff. 7-1-01.)
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(415 ILCS 5/54.12a)
Sec. 54.12a.
"Tire storage unit" means a pile of tires or a group of piles
of tires at a storage site.
(Source: P.A. 89-200, eff. 1-1-96.)
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(415 ILCS 5/54.12b)
Sec. 54.12b.
"Tire transporter" means a person who transports used or waste
tires in a vehicle.
(Source: P.A. 89-200, eff. 1-1-96.)
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(415 ILCS 5/54.13) (from Ch. 111 1/2, par. 1054.13)
Sec. 54.13.
"Used tire" means a worn, damaged, or defective tire
that is not mounted on a vehicle.
(Source: P.A. 92-24, eff. 7-1-01.)
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(415 ILCS 5/54.14) (from Ch. 111 1/2, par. 1054.14)
Sec. 54.14.
"Vector" means arthropods, rats, mice, birds or
other animals capable of carrying disease-producing organisms to a human or
animal host. "Vector" does not include animals that transmit disease to
humans only when used as human food.
(Source: P.A. 86-452.)
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(415 ILCS 5/54.15) (from Ch. 111 1/2, par. 1054.15)
Sec. 54.15.
"Vehicle" means every device in, upon or by which any
person or property is or may be transported or drawn, except devices moved
by human power or by animal power, devices used exclusively upon stationary
rails or tracks, and motorized wheelchairs.
(Source: P.A. 86-452.)
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(415 ILCS 5/54.16) (from Ch. 111 1/2, par. 1054.16)
Sec. 54.16.
"Waste tire" means a used tire that has been disposed of.
(Source: P.A. 86-452.)
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(415 ILCS 5/55) (from Ch. 111 1/2, par. 1055)
Sec. 55. Prohibited activities.
(a) No person shall:
(1) Cause or allow the open dumping of any used or | ||
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(2) Cause or allow the open burning of any used or | ||
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(3) Except at a tire storage site which contains more | ||
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(4) Cause or allow the operation of a tire storage | ||
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(5) Abandon, dump or dispose of any used or waste | ||
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(6) Fail to submit required reports, tire removal | ||
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(b) (Blank.)
(b-1) No person shall knowingly mix any used or waste tire, either whole or cut, with
municipal waste, and no owner or operator of a sanitary landfill shall accept
any used or waste tire for final disposal; except that used or waste tires,
when separated from other waste, may be accepted if the sanitary landfill
provides and maintains a means for shredding, slitting, or chopping whole tires
and so treats whole tires and, if approved by the Agency in a permit issued
under this Act, uses the used or waste tires for alternative uses, which may
include on-site practices such as lining of roadways with tire scraps,
alternative daily cover, or use in a leachate collection system.
In the event the physical condition of a used or waste tire makes shredding,
slitting, chopping, reuse, reprocessing, or other alternative use of the used
or waste tire impractical or infeasible, then the sanitary landfill, after
authorization by the Agency, may accept the used or waste tire for disposal.
(c) Any person who sells new or used
tires at retail or operates a tire storage
site or a tire disposal site which contains more than 50 used or waste
tires shall give notice of such activity to the Agency. Any person
engaging in such activity for the first time after January 1, 1990, shall
give notice to the Agency within 30 days after the date of commencement of
the activity. The form of such notice shall be specified by the Agency and
shall be limited to information regarding the following:
(1) the name and address of the owner and operator;
(2) the name, address and location of the operation;
(3) the type of operations involving used and waste | ||
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(4) the number of used and waste tires present at the | ||
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(d) Beginning January 1, 1992, no person shall cause or allow the
operation of:
(1) a tire storage site which contains more than 50 | ||
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(2) a tire disposal site, unless the owner or | ||
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The Agency shall provide written forms for the annual registration and
certification required under this subsection (d).
(d-4) On or before January 1, 2015, the owner or operator of each tire storage site that contains used tires totaling more than 10,000 passenger tire equivalents, or at which more than 500 tons of used tires are processed in a calendar year, shall submit documentation demonstrating its compliance with Board rules adopted under this Title. This documentation must be submitted on forms and in a format prescribed by the Agency. (d-5) Beginning July 1, 2016, no person shall cause or allow the operation of a tire storage site that contains used tires totaling more than 10,000 passenger tire equivalents, or at which more than 500 tons of used tires are processed in a calendar year, without a permit granted by the Agency or in violation of any conditions imposed by that permit, including periodic reports and full access to adequate records and the inspection of facilities, as may be necessary to ensure compliance with this Act and with regulations and standards adopted under this Act. (d-6) No person shall cause or allow the operation of a tire storage site in violation of the financial assurance rules established by the Board under subsection (b) of Section 55.2 of this Act. In addition to the remedies otherwise provided under this Act, the State's Attorney of the county in which the violation occurred, or the Attorney General, may, at the request of the Agency or on his or her own motion, institute a civil action for an immediate injunction, prohibitory or mandatory, to restrain any violation of this subsection (d-6) or to require any other action as may be necessary to abate or mitigate any immediate danger or threat to public health or the environment at the site. Injunctions to restrain a violation of this subsection (d-6) may include, but are not limited to, the required removal of all tires for which financial assurance is not maintained and a prohibition against the acceptance of tires in excess of the amount for which financial assurance is maintained. (e) No person shall cause or allow the storage, disposal, treatment or
processing of any used or waste tire in violation of any regulation or
standard adopted by the Board.
(f) No person shall arrange for the transportation of used or waste tires
away from the site of generation with a person known to openly dump such tires.
(g) No person shall engage in any operation as a used or waste tire
transporter except in compliance with Board regulations.
(h) No person shall cause or allow the combustion of any used or waste
tire in an enclosed device unless a permit has been issued by the Agency
authorizing such combustion pursuant to regulations adopted by the Board
for the control of air pollution and consistent with the provisions of
Section 9.4 of this Act.
(i) No person shall cause or allow the use of pesticides to treat tires
except as prescribed by Board regulations.
(j) No person shall fail to comply with the terms of a tire removal
agreement approved by the Agency pursuant to Section 55.4.
(k) No person shall: (1) Cause or allow water to accumulate in used or | ||
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(2) Fail to collect a fee required under Section 55.8 | ||
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(3) Fail to file a return required under Section | ||
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(4) Transport used or waste tires in violation of the | ||
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(Source: P.A. 100-103, eff. 8-11-17; 100-327, eff. 8-24-17; 100-621, eff. 7-20-18; 100-863, eff. 8-14-18.)
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(415 ILCS 5/55.1) (from Ch. 111 1/2, par. 1055.1)
Sec. 55.1.
(a) The prohibitions set forth in subdivision (a)(3) of
Section 55 of this Act shall not apply to used tires:
(1) generated and located at a site as a result of | ||
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(2) located at a residential household, as long as | ||
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(3) which were placed in service for recreational | ||
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(b) The prohibitions set forth in subdivisions (a)(3), (a)(4), (c),
(d), (d-5), (d-6), (e), (g), and (k)(4)
of Section 55 of this Act shall not apply to used or waste tires collected
by a not-for-profit corporation if:
(1) the collection location has been approved by the | ||
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(2) the collected tires are transported to a facility | ||
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(3) the collection does not occur as a continuous | ||
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(c) The prohibitions set forth in subdivisions (a)(3), (a)(4), (c),
(d), (d-5), (d-6), (e), (g), and (k)(4) of Section 55 of this Act shall not apply to used or waste
tires collected by the State or a unit of local government, provided that:
(1) the collection is part of an established program | ||
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(2) any staging sites for handling such tires are | ||
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(3) the Agency is notified in writing during January | ||
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The Agency shall provide written confirmation to a State agency or unit
of local government regarding the applicability of this subsection
upon receipt of a written description of its established program, and each
January following receipt of the annual report required under subdivision
(c)(3) of this subsection.
For purposes of determining the applicability of this subsection, any
municipality with a population over 1,000,000 may certify to
the Agency by January 1, 1990 that it operates an established program. Upon
the filing of such a certification, the established program shall be deemed
to satisfy the provisions of subdivisions (1) and (2) of this subsection.
(d) The prohibitions set forth in subdivision (a)(5) of Section 55 of
this Act shall not apply to used tires that are generated and located at a
permitted coal mining site after use on specialized coal hauling and
extraction vehicles.
(Source: P.A. 98-656, eff. 6-19-14.)
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(415 ILCS 5/55.2) (from Ch. 111 1/2, par. 1055.2)
Sec. 55.2.
(a) Not later than July 1, 1990, the Agency shall propose
regulations which prescribe standards for the storage, disposal, processing
and transportation of used and waste tires.
(b) Not later than one year after the receipt of the Agency's proposed
regulations, the Board shall adopt, pursuant to Sections 27 and 28 of this
Act, regulations which are consistent with the provisions of this Title.
These regulations shall, at a minimum, specify: recordkeeping and reporting
requirements; criteria for minimizing the danger of tire fires, including
dimensions for piling tires and minimum aisle spacing; financial assurance
criteria; and criteria for distinguishing storage from disposal. In
addition, such regulations shall prohibit the use of pesticides as an
ongoing means of demonstrating compliance with this Title.
(b-5) Not later than 6 months after the effective date of this amendatory Act of the 98th General Assembly, the Agency shall propose, and, not later than 9 months after receipt of the Agency's proposal, the Board shall adopt, revisions to the rules adopted under this Title that are necessary to conform those rules to the requirements of this Title, including, but not limited to, revisions to those rules that are necessary to implement the changes made to this Act by this amendatory Act of the 98th General Assembly. (c) In adopting regulations under this Section, the Board may impose
different requirements for different categories of used or waste tire
storage, disposal, transport, and processing.
(d) Nothing in this Section shall be construed as limiting the general
authority of the Board to promulgate regulations pursuant to Title VII of this Act.
(Source: P.A. 98-656, eff. 6-19-14.)
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(415 ILCS 5/55.3) (from Ch. 111 1/2, par. 1055.3)
Sec. 55.3. (a) Upon finding that an accumulation of used or waste tires
creates an immediate danger to health, the Agency may take action pursuant
to Section 34 of this Act.
(b) Upon making a finding that an accumulation of used or waste tires
creates a hazard posing a threat to public health or the environment, the
Agency may undertake preventive or corrective action in accordance with
this subsection. Such preventive or corrective action may consist of any
or all of the following:
(1) Treating and handling used or waste tires and | ||
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(2) Relocation of ignition sources and any used or | ||
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(3) Removal of used and waste tire accumulations from | ||
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(4) Removal of soil and water contamination related | ||
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(5) Installation of devices to monitor and control | ||
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(6) Such other actions as may be authorized by Board | ||
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(c) The Agency may, subject to the availability of appropriated funds,
undertake a consensual removal action for the removal of up to 1,000
used or waste tires at no cost to the owner according to the
following requirements:
(1) Actions under this subsection shall be taken | ||
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(2) The written agreement shall at a minimum specify:
(i) that the owner relinquishes any claim of an | ||
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(ii) that tires will no longer be allowed to be | ||
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(iii) that the owner will hold harmless the | ||
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(iv) any conditions upon or assistance required | ||
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(3) The Agency may by rule establish conditions and | ||
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(4) The Agency shall prescribe the form of written | ||
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(d) The Agency shall have authority to provide notice to the owner
or operator, or both, of a site where used or waste tires are located and to
the owner or operator, or both, of the accumulation of tires at the site,
whenever the Agency finds that the used or waste tires pose a threat to
public health or the environment, or that there is no owner or
operator proceeding in accordance with a tire removal agreement approved
under Section 55.4.
The notice provided by the Agency shall include the identified
preventive or corrective action, and shall provide an opportunity for the
owner or operator, or both, to perform such action.
For sites with more than 250,000 passenger tire equivalents, following the
notice
provided for by this subsection (d), the Agency may enter into a written
reimbursement agreement with the owner or operator of the site. The agreement
shall
provide a schedule for the owner or operator to reimburse the Agency for costs
incurred for preventive or corrective action, which shall not exceed 5 years in
length.
An owner or operator making payments under a written reimbursement agreement
pursuant to this subsection (d) shall not be liable for punitive damages under
subsection (h) of this Section.
(e) In accordance with constitutional limitations,
the Agency shall have authority to enter at all reasonable times
upon any private or public property for the purpose of taking whatever
preventive or corrective action is necessary and appropriate in accordance
with the provisions of this Section, including but not limited to removal,
processing or treatment of used or waste tires, whenever the Agency finds
that used or waste tires pose a threat to public health or the environment.
(f) In undertaking preventive, corrective or consensual removal action
under this Section the Agency may consider use of the following: rubber
reuse alternatives, shredding or other conversion through use of mobile or
fixed facilities, energy recovery through burning or incineration, and
landfill disposal.
(g) Except as otherwise provided in this Section, the owner or operator
of any site or accumulation of used or waste tires at which the Agency has
undertaken
corrective or preventive action under this Section shall be liable for all
costs thereof incurred by the State of Illinois, including reasonable costs of
collection. Any monies received by the Agency hereunder shall be deposited
into the Used Tire Management Fund. The Agency may in its discretion store,
dispose of or convey the tires that are removed from an area at which it
has undertaken a corrective, preventive or consensual removal action, and
may sell or store such tires and other items, including but not limited to
rims, that are removed from the
area. The net proceeds of any sale shall be credited against the liability
incurred by the owner or operator for the costs of any preventive or
corrective action.
(h) Any person liable to the Agency for costs incurred under subsection
(g) of this Section may be liable to the State of Illinois for punitive
damages in an amount at least equal to, and not more than 2 times, the costs
incurred by the State if such person failed without sufficient cause to
take preventive or corrective action pursuant to notice issued under
subsection (d) of this Section.
(i) There shall be no liability under subsection (g) of this Section for
a person otherwise liable who can establish by a preponderance of the
evidence that the hazard created by the tires was caused solely by:
(1) an act of God;
(2) an act of war; or
(3) an act or omission of a third party other than an | ||
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For the purposes of this subsection, "contractual relationship" includes,
but is not limited to, land contracts, deeds and other instruments
transferring title or possession, unless the real property upon which the
accumulation is located was acquired by the defendant after the
disposal or placement of used or waste tires on, in or at the property and
one or more of the following circumstances is also established by a
preponderance of the evidence:
(A) at the time the defendant acquired the | ||
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(B) the defendant is a government entity which | ||
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(C) the defendant acquired the property by | ||
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(j) Nothing in this Section shall affect or modify the obligations or
liability of any person under any other provision of this Act, federal law,
or State law, including the common law, for injuries, damages or losses
resulting from the circumstances leading to Agency action under this Section.
(k) The costs and damages provided for in this Section may be imposed by
the Board in an action brought before the Board in accordance with Title
VIII of this Act, except that subsection (c) of Section 33 of this Act
shall not apply to any such action.
(l) The Agency shall, when feasible, consult with the Department of
Public Health prior to taking any action to remove or treat an infested
tire accumulation for control of mosquitoes or other disease vectors. The
Agency may by contract or agreement secure the services of the Department
of Public Health, any local public health department, or any other
qualified person in treating any such infestation as part of an emergency
or preventive action.
(m) Neither the State, the Agency, the Board, the Director, nor any
State employee shall be liable for any damage or injury arising out of or
resulting from any action taken under this Section.
(Source: P.A. 102-444, eff. 8-20-21.)
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(415 ILCS 5/55.4) (from Ch. 111 1/2, par. 1055.4)
Sec. 55.4.
(a) The owner or operator of a tire disposal site required to
file and receive approval of a tire removal agreement under subsection (d)
of Section 55 shall remove used or waste tires from the site in a manner that:
(1) minimizes the need for further maintenance;
(2) removes all used and waste tires and any residues | ||
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(3) protects human health during the removal and | ||
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(b) A tire removal agreement submitted to the Agency shall include the following:
(1) A complete inventory of the tires located on the | ||
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(2) A description of how the removal will be | ||
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(3) A description of the methods to be used during | ||
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(4) A detailed description of other activities | ||
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(5) A schedule for completing the removal of tires | ||
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(c) For a site at which the owner or operator is proposing to proceed
with removal, the Agency shall approve, modify or disapprove a proposed
agreement within 90 days of receiving it. If the Agency does not approve
the agreement, the Agency shall provide the owner or operator with a
written statement of reasons for the refusal, and the owner or operator
shall modify the agreement or submit a new agreement for approval
within 30 days after receiving the statement. The Agency shall
approve or modify the second proposed agreement within 60 days. If the
Agency modifies the second proposed agreement, the agreement as modified
shall become the approved agreement.
(d) Each approved agreement shall include a schedule by which the owner
or operator must complete the removal activities. The total time allowed
shall not exceed the following:
(1) one year if the site contains 1,000 tires or less;
(2) two years if the site contains more than 1,000 | ||
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(3) five years if the site contains 10,000 or more | ||
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The owner or operator may apply for an extension of time, no later than
90 days before the end of the time period specified in the agreement. The
Agency shall not grant such an extension unless it determines that the
owner or operator has proceeded to carry out the agreement with all due
diligence. The requested extension of time may not exceed 3 years, and the
Agency may approve the request as submitted or may approve a lesser amount
of time.
(e) Within 60 days after the completion of removal activities under an
approved agreement, the owner or operator shall submit to the Agency a
certification that the site or the affected portion of the site has been
cleared of tires in accordance with the approved agreement.
(f) Modification of or refusal to modify an agreement submitted by an
owner or operator proposing to proceed with removal is a permit denial for
purposes of subsection (a) of Section 40 of this Act.
(Source: P.A. 86-452.)
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(415 ILCS 5/55.5) (from Ch. 111 1/2, par. 1055.5)
Sec. 55.5.
(a) The Agency shall investigate alleged violations of this
Title XIV, or of any regulation promulgated hereunder, or of any approval
granted by the Agency, and may cause such other investigations to be made
as it may deem advisable.
(b) If an investigation discloses that a violation may exist, the Agency
shall take action pursuant to Title VIII of this Act in a timely manner.
(c) Notwithstanding the provisions of subsection (b) of this Section,
prior to taking action pursuant to Title VIII for violation
of subsection (a), (b) or (c) of Section 55 of this Act, the Agency or unit
of local government shall issue and serve upon the person complained
against a written warning notice informing such person that the Agency or
unit of local government intends to take such action. Such written
warning notice shall specify the alleged violation, describe the corrective
action which should be taken, and provide a period of 30 days in which one
of the following response actions may be taken by such person:
(1) initiation and completion of the corrective | ||
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(2) notification of the Agency or unit of local | ||
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In the event that the person fails to take a response action, initiates
but does not adequately complete a response action, or takes other action
in contravention of the described corrective action, the Agency or unit of
local government may proceed pursuant to subsection (b) of this Section.
If the same person has been issued 2 written warning notices for similar
violations in any calendar year, thereafter the Agency or unit of local
government may proceed pursuant to subsection (b) without first following
the provisions of this subsection for the remainder of such calendar year
with respect to such person.
(Source: P.A. 91-357, eff. 7-29-99.)
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(415 ILCS 5/55.6) (from Ch. 111 1/2, par. 1055.6) Sec. 55.6. Used Tire Management Fund. (a) There is hereby created in the State Treasury a special fund to be known as the Used Tire Management Fund. There shall be deposited into the Fund all monies received as (1) recovered costs or proceeds from the sale of used tires under Section 55.3 of this Act, (2) repayment of loans from the Used Tire Management Fund, or (3) penalties or punitive damages for violations of this Title, except as provided by subdivision (b)(4) or (b)(4-5) of Section 42. (b) Beginning January 1, 1992, in addition to any other fees required by law, the owner or operator of each site required to be registered or permitted under subsection (d) or (d-5) of Section 55 shall pay to the Agency an annual fee of $100. Fees collected under this subsection shall be deposited into the Environmental Protection Permit and Inspection Fund. (c) Pursuant to appropriation, moneys up to an amount of $4 million per fiscal year from the Used Tire Management Fund shall be allocated as follows: (1) 38% shall be available to the Agency for the | ||
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(i) To undertake preventive, corrective or | ||
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(ii) For the performance of inspection and | ||
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(iii) (Blank). (iv) To provide financial assistance to units of | ||
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(v) To provide financial assistance for used and | ||
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(vi) For the costs of fee collection and | ||
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(vii) To provide financial assistance to units of | ||
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(A) assisting in the establishment of | ||
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(B) demonstrating the feasibility of | ||
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(C) applying demonstrated technologies as a | ||
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(2) (Blank). (2.1) For the fiscal year beginning July 1, 2004 and | ||
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(3) 25% shall be available to the Illinois Department | ||
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(A) To investigate threats or potential threats | ||
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(B) To conduct surveillance and monitoring | ||
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(C) To conduct training activities to promote | ||
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(D) To respond to inquiries, investigate | ||
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(E) To provide financial assistance to units of | ||
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(4) 2% shall be available to the Department of | ||
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(5) 2% shall be available to the Pollution Control | ||
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(6) 10% shall be available to the University of | ||
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(d) By January 1, 1998, and biennially thereafter, each State agency receiving an appropriation from the Used Tire Management Fund shall report to the Governor and the General Assembly on its activities relating to the Fund. (e) Any monies appropriated from the Used Tire Management Fund, but not obligated, shall revert to the Fund. (f) In administering the provisions of subdivisions (1), (2) and (3) of subsection (c) of this Section, the Agency, the Department of Commerce and Economic Opportunity, and the Illinois Department of Public Health shall ensure that appropriate funding assistance is provided to any municipality with a population over 1,000,000 or to any sanitary district which serves a population over 1,000,000. (g) Pursuant to appropriation, monies in excess of $4 million per fiscal year from the Used Tire Management Fund shall be used as follows: (1) 55% shall be available to the Agency and, in | ||
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(A) To undertake preventive, corrective or | ||
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(B) To provide financial assistance to units of | ||
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(i) assisting in the establishment of | ||
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(ii) demonstrating the feasibility of | ||
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(iii) applying demonstrated technologies as a | ||
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(C) To provide grants to public universities and | ||
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(2) (Blank). (3) For the fiscal year beginning July 1, 2004 and | ||
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(Source: P.A. 103-363, eff. 7-28-23; 103-588, eff. 6-5-24.) |
(415 ILCS 5/55.6a)
Sec. 55.6a. Emergency Public Health Fund.
(a) Moneys in the Emergency Public
Health Fund, subject to appropriation, shall be allocated annually as follows:
(i) $300,000
to the University of Illinois for the purposes described in
Section 55.6(c)(6) and (ii) subject to subsection (b) of this Section, all
remaining amounts to the Department of Public
Health to be used to make vector control grants and surveillance grants
to the Cook County Department of Public Health (for areas of the County
excluding the City of Chicago), to the City of Chicago health department, and
to other certified local health departments. These grants shall be used for
expenses
related to West Nile Virus and other vector-borne diseases. The amount of
each grant shall be based on population and need as supported by information
submitted to the Department of Public Health. For the purposes of this
Section, need shall be determined by the Department based primarily upon
surveillance data and the number of positive human cases of West Nile Virus and
other vector-borne
diseases occurring during the preceding year and current year in the county or
municipality seeking the grant.
(b) (Blank).
(Source: P.A. 103-363, eff. 7-28-23.)
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(415 ILCS 5/55.7) (from Ch. 111 1/2, par. 1055.7)
Sec. 55.7. The Agency may adopt
regulations as necessary for the
administration of the grant and loan programs funded from the Used Tire
Management Fund, including but not limited to procedures and criteria for
applying for, evaluating, awarding and terminating grants and loans. The Agency
may by rule specify criteria
for providing grant assistance
rather than loan assistance; such criteria shall promote the expeditious
development of alternatives to the disposal of used tires, and the
efficient use of monies for assistance. Evaluation criteria may be
established by rule, considering such factors as:
(1) the likelihood that a proposal will lead to the | ||
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(2) the feasibility of the proposal;
(3) the suitability of the location for the proposed | ||
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(4) the potential of the proposal for encouraging | ||
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(5) the potential for development of new technologies | ||
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(Source: P.A. 102-444, eff. 8-20-21.)
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(415 ILCS 5/55.7a)
Sec. 55.7a. (Repealed).
(Source: P.A. 87-727. Repealed by P.A. 99-933, eff. 1-27-17.)
|
(415 ILCS 5/55.8) (from Ch. 111 1/2, par. 1055.8)
Sec. 55.8. Tire retailers.
(a) Any person selling new or used tires at
retail or offering new or used tires for retail sale in this State shall:
(1) beginning on June 20, 2003 (the effective date of | ||
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(1.5) beginning on July 1, 2003, collect from retail | ||
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(2) accept for recycling used tires from customers, | ||
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(3) post in a conspicuous place a written notice at | ||
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(b) A person who accepts used tires for recycling under subsection (a)
shall not allow the tires to accumulate for periods of more than 90 days.
(c) The requirements of subsection (a) of this Section do not apply
to mail order sales nor shall the retail sale of a motor vehicle be considered
to be the sale of tires at retail or offering of tires for retail sale.
Instead of filing returns, retailers of tires may remit the tire user fee to their suppliers of tires if the supplier of tires is a
registered retailer of tires and agrees or otherwise arranges to collect
and remit the tire fee to the Department of Revenue, notwithstanding the fact
that the sale of the tire is a sale for resale and not a sale at retail. A
tire supplier who enters into such an arrangement with a tire retailer shall
be liable for the tax on all tires sold to the tire retailer and must (i)
provide the tire retailer with a receipt that separately reflects the tire
tax collected from the retailer on each transaction and (ii) accept used tires
for recycling from the retailer's customers. The tire supplier shall be
entitled to the collection allowance of 10 cents per tire, but only if the return is filed timely and only for the amount that is paid timely in accordance with this Title XIV.
The retailer of the tires must maintain in its books and records evidence
that the appropriate fee was paid to the tire supplier and that the tire
supplier has agreed to remit the fee to the Department of Revenue for each tire
sold by the retailer. Otherwise, the tire retailer shall be directly liable
for the fee on all tires sold at retail. Tire retailers paying the fee to
their suppliers are not entitled to the collection allowance of 10 cents per
tire. The collection allowance for suppliers, however, shall be allowed only if the return is filed timely and in the manner required by this Title XIV and only for the amount that is paid timely in accordance with this Title XIV.
(d) The requirements of subsection (a) of this Section shall apply
exclusively to tires to be used for vehicles defined in Section 1-217 of
the Illinois Vehicle Code, aircraft tires, special mobile equipment, and
implements of husbandry.
(e) The requirements of paragraph (1) of subsection (a) do not
apply to the sale of reprocessed tires. For purposes of this Section,
"reprocessed tire" means a used tire that has been recapped, retreaded,
or regrooved and that has not been placed on a vehicle wheel rim.
(Source: P.A. 100-303, eff. 8-24-17.)
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(415 ILCS 5/55.9) (from Ch. 111 1/2, par. 1055.9)
Sec. 55.9.
Collection of fee.
Retailers shall collect the fee from
the purchaser by adding the fee to the selling price of the tire. The fee
imposed by Section 55.8 shall be stated as a distinct item separate and
apart from the selling price of the tire. The fee imposed by Section 55.8
shall not be includable in the gross receipts of the retailer subject to
the Retailers' Occupation Tax Act, the Use Tax Act or any locally imposed
retailers' occupation tax. The fee imposed by Section 55.8, and any such
fees collected by a retailer, shall constitute a debt owed by the retailer
to this State.
(Source: P.A. 87-727.)
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(415 ILCS 5/55.10) (from Ch. 111 1/2, par. 1055.10)
Sec. 55.10. Tax returns by retailer. (a) Except as otherwise provided in this Section, for returns due on or before January 31, 2010, each retailer of tires
maintaining a place of business in this State
shall make a return to the Department of Revenue on a quarter annual basis,
with the return for January, February and March of a given year being due
by April 30 of that year; with the return for April, May and June of a
given year being due by July 31 of that year; with the return for July, August
and September of a given year being due by October 31 of that year; and
with the return for October, November and December of a given year being due
by January 31 of the following year.
For returns due after January 31, 2010, each retailer of tires maintaining a place of business in this State shall make a return to the Department of Revenue on a quarter annual basis, with the return for January, February, and March of a given year being due by April 20 of that year; with the return for April, May, and June of a given year being due by July 20 of that year; with the return for July, August, and September of a given year being due by October 20 of that year; and with the return for October, November, and December of a given year being due by January 20 of the following year. Notwithstanding any other provision of this Section to the contrary, the return for October, November, and December of 2009 is due by February 20, 2010. On and after January 1, 2018, tire retailers and suppliers required to file electronically under Section 3 of the Retailers' Occupation Tax Act or Section 9 of the Use Tax Act must electronically file all returns pursuant to this Act. Tire retailers and suppliers who demonstrate that they do not have access to the Internet or demonstrate hardship in filing electronically may petition the Department to waive the electronic filing requirement. (b) Each return made to the Department of Revenue shall state:
(1) the name of the retailer;
(2) the address of the retailer's principal place of | ||
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(3) total number of tires sold at retail for the | ||
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(4) the amount of tax due; and
(5) such other reasonable information as the | ||
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If any payment provided for in this Section exceeds the retailer's liabilities under this Act, as shown on an original return, the retailer may credit such excess payment against liability subsequently to be remitted to the Department under this Act, in accordance with reasonable rules adopted by the Department. If the Department subsequently determines that all or any part of the credit taken was not actually due to the retailer, the retailer's discount shall be reduced by the monetary amount of the discount applicable to the difference between the credit taken and that actually due, and the retailer shall be liable for penalties and interest on such difference. Notwithstanding any other provision of this Act concerning the time
within which a retailer may file his return, in the case of any retailer
who ceases to engage in the retail sale of tires, the retailer shall file
a final return under this Act with the Department of Revenue not more than
one month after discontinuing that business.
(Source: P.A. 100-303, eff. 8-24-17; 100-1171, eff. 1-4-19.)
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(415 ILCS 5/55.11) (from Ch. 111 1/2, par. 1055.11)
Sec. 55.11.
Application of Retailers' Occupation Tax provisions.
All
the provisions of Sections 4, 5, 5a, 5b, 5c, 5d, 5e, 5f, 5g, 5i, 5j, 6, 6a,
6b, 6c, 7, 8, 9, 10, 11, and 13 1/2 of the Retailers' Occupation Tax Act,
which are not inconsistent with this Act, shall apply, as far as
practicable, to the fee imposed by Section 55.8 of this Act to the same
extent as if such provisions were included herein. References in the
incorporated Sections of the Retailers' Occupation Tax Act to retailers,
to sellers or to persons engaged in the business of selling tangible personal
property mean retailers of tires.
(Source: P.A. 87-727.)
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(415 ILCS 5/55.12) (from Ch. 111 1/2, par. 1055.12)
Sec. 55.12.
Review under Administrative Review Law.
The circuit court
of any county wherein a hearing is held shall have the power to review all
final administrative decisions of the Department of Revenue in
administering the fee imposed under Section 55.7. However, if the
administrative proceeding which is to be reviewed judicially is a claim for
refund proceeding commenced under this Act and Section 2a of the State
Officers and Employees Money Disposition Act, the circuit court having
jurisdiction over the action for judicial review under this Section and
under the Administrative Law shall be the same court that entered the
temporary restraining order or preliminary injunction which is provided for
in that Section 2a, and which enables the claim proceeding to be processed
and disposed of as a claim for refund proceeding other than as a claim for
credit proceeding.
The provisions of the Administrative Review Law, and the rules adopted
pursuant thereto, shall apply to and govern all proceeding for the judicial
review of final administrative decisions of the Department of Revenue
hereunder. The term "administrative decision" is defined as in Section
3-101 of the Code of Civil Procedure.
Service upon the Director or Assistant Director of the Department of
Revenue of summons issued in any action to review a final administrative
decision shall be service upon the Department of Revenue. The Department
of Revenue shall certify the record of its proceedings if the taxpayer
shall pay to it the sum of 75 cents per page of testimony taken before the
Department of Revenue and 25 cents per page of all other matters contained
in such record, except that these charges may be waived where the
Department of Revenue is satisfied that the aggrieved party is a poor person
who cannot afford to pay such charges.
(Source: P.A. 87-727.)
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(415 ILCS 5/55.13) (from Ch. 111 1/2, par. 1055.13)
Sec. 55.13.
Rules, etc.
The Department of Revenue may adopt and
enforce such reasonable rules and regulations relating to the
administration and enforcement of the fee imposed by Section 55.8 of this
Act as may be deemed expedient.
Whenever the Department of Revenue is required to provide notice to a
retailer under this Act, such notice may be personally served or given by
United States certified or registered mail, addressed to the retailer or
taxpayer concerned at his last known address, and proof of such mailing
shall be sufficient for the purposes of this Article. In the case of a
notice of hearing, such notice shall be mailed not less than 7 days prior
to the date fixed for the hearing.
All hearings provided by the Department of Revenue under this Act with
respect to or concerning a taxpayer having his or her principal place of
business in this State other than in Cook County shall be held at the
Department's office nearest to the location of the taxpayer's principal
place of business. If the taxpayer has his or her principal place of
business in Cook County, such hearing shall be held in Cook County. If the
taxpayer does not have his or her principal place of business in this
State, such hearing shall be held in Sangamon County.
Whenever any proceeding provided by this Act has been begun by the
Department of Revenue or by a person subject thereto and such person
thereafter dies or becomes a person under legal disability before the
proceeding has been concluded, the legal representative of the deceased
person or person under legal disability shall notify the Department of
Revenue of such death or legal disability. The legal representative, as
such, shall then be substituted by the Department of Revenue in place of and
for the person. Within 20 days after notice to the legal representative of
the time fixed for that purpose, the proceeding may proceed in all respects
and with like effect as though the person had not died or become a person
under legal disability.
(Source: P.A. 87-727.)
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(415 ILCS 5/55.14) (from Ch. 111 1/2, par. 1055.14)
Sec. 55.14.
Administrative procedures.
The Illinois Administrative
Procedure Act is hereby expressly adopted and shall apply to all
administrative rules and procedures of the Department of Revenue under this
Act, except that: (1) paragraph (b) of Section 4 of the Illinois
Administrative Procedure Act does not apply to final orders, decisions and
opinions of the Department of Revenue; (2) subparagraph (a)(2) of Section 4
of the Illinois Administrative Procedure Act does not apply to forms
established by the Department of Revenue for use under this Act; and (3)
the provisions of Section 13 of the Illinois Administrative Procedure Act
regarding proposals for decision are excluded and not applicable to the
Department of Revenue under this Act.
(Source: P.A. 87-727.)
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(415 ILCS 5/55.15) (from Ch. 111 1/2, par. 1055.15)
Sec. 55.15.
Violations.
(a) Any retailer who fails to make a return, or who makes a fraudulent
return, or who willfully violates any rule or regulation of the Department
of Revenue for the administration and enforcement of the fee imposed by
Section 55.8, is guilty of a Class 4 felony.
(b) Any retailer who knowingly violates subsections (a) (2), (a) (3),
or (b) of Section 55.8 commits a petty offense punishable by a fine of $100.
(Source: P.A. 87-727.)
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(415 ILCS 5/Tit. XV heading) Title XV:
Potentially Infectious Medical Waste
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(415 ILCS 5/56) (from Ch. 111 1/2, par. 1056)
Sec. 56.
(a) The General Assembly finds:
(1) that potentially infectious medical waste, if not | ||
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(2) that potentially infectious medical waste, if not | ||
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(b) It is the purpose of this Title to reduce the potential
environmental and public health risks associated with potentially
infectious medical waste by establishing statutory and regulatory
requirements to ensure that such waste will be handled in a safe and
responsible manner.
(c) Potentially infectious medical waste is not a hazardous waste, except
for
those potentially infectious medical wastes identified by characteristics or
listing as hazardous under Section 3001 of the Resource Conservation and
Recovery Act of 1976, P.L. 94-580, or pursuant to Board regulations.
Potentially infectious medical waste characterized or listed as hazardous shall
be subject to the appropriate hazardous waste regulations. Potentially
infectious medical waste packages that contain both waste characterized or
listed as
hazardous and waste characterized as nonhazardous shall be subject to
the
hazardous waste regulations.
(Source: P.A. 90-773, eff. 8-14-98.)
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(415 ILCS 5/56.1) (from Ch. 111 1/2, par. 1056.1)
Sec. 56.1. Acts prohibited.
(A) No person shall:
(a) Cause or allow the disposal of any potentially | ||
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(1) the infectious potential has been eliminated | ||
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(2) the sharps are packaged in accordance with | ||
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(b) Cause or allow the delivery of any potentially | ||
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(c) Beginning July 1, 1992, cause or allow the | ||
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(d) Beginning July 1, 1992, cause or allow the | ||
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(1) the transporter has a permit issued by the | ||
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(2) a potentially infectious medical waste | ||
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(e) Cause or allow the acceptance of any potentially | ||
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(f) Beginning July 1, 1992, conduct any potentially | ||
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(1) Without a permit issued by the Agency to | ||
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(A) a person transporting potentially | ||
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(B) noncommercial transportation of less than | ||
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(C) the U.S. Postal Service.
(2) In violation of any condition of any permit | ||
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(3) In violation of any regulation adopted by the | ||
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(4) In violation of any order adopted by the | ||
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(g) Beginning July 1, 1992, conduct any potentially | ||
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(1) without a permit issued by the Agency that | ||
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(A) Person conducting a potentially | ||
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(B) Hospital that treats, stores, or | ||
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(C) Sharps collection station that is | ||
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(2) in violation of any condition of any permit | ||
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(3) in violation of any regulation adopted by the | ||
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(4) In violation of any order adopted by the | ||
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(h) Transport potentially infectious medical waste | ||
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(1) potentially infectious medical waste being | ||
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(2) less than 50 pounds of potentially infectious | ||
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(3) potentially infectious medical waste by the | ||
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(i) Offer for transportation, transport, deliver, | ||
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(j) Beginning January 1, 1994, conduct a potentially | ||
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(k) Beginning July 1, 2015, knowingly mix household | ||
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(l) Beginning on July 1, 2015, knowingly place | ||
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(B) In making its orders and determinations relative to
penalties, if any, to be imposed for violating subdivision (A)(a) of
this Section, the Board, in addition to the
factors in Sections 33(c) and 42(h) of this Act, or the Court shall take into
consideration whether the owner or operator of the landfill reasonably relied
on written statements from the person generating or treating the waste that
the waste is not potentially infectious medical waste.
(C) Notwithstanding subsection (A) or any other provision of law, including the Vital Records Act, tissue and products from an abortion, as defined in Section 1-10 of the Reproductive Health Act, or a miscarriage may be buried, entombed, or cremated. (Source: P.A. 101-13, eff. 6-12-19.)
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(415 ILCS 5/56.2) (from Ch. 111 1/2, par. 1056.2)
Sec. 56.2. Regulations.
(a) No later than July 1, 1993, the Board shall adopt
regulations in accordance with Title VII of this Act prescribing design and
operating standards and criteria for all potentially infectious medical
waste treatment, storage, and transfer facilities. At a minimum, these
regulations shall require treatment of potentially infectious medical waste
at a facility that:
(1) eliminates the infectious potential of the waste;
(2) prevents compaction and rupture of containers | ||
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(3) disposes of treatment residuals in accordance | ||
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(4) provides for quality assurance programs;
(5) provides for periodic testing using biological | ||
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(6) provides for assurances that clearly demonstrate | ||
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(7) is in compliance with all Federal and State laws | ||
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(b) After the effective date of the Board regulations adopted under
subsection (a), each applicant for a potentially infectious medical waste
treatment permit shall prove that the facility will not cause a violation
of the Act or of regulations adopted thereunder.
(c) No later than July 1, 1993, the Board shall adopt regulations
in accordance with Title VII of this Act prescribing standards and criteria
for transporting, packaging, segregating, labeling, and marking potentially
infectious medical waste.
(d) In accord with Title VII of this Act, no later than January 1, 1992,
the Board shall repeal Subpart I of 35 Ill. Adm. Code 809.
(e) No later than January 1, 1992, the Board shall adopt rules that are
identical in substance to the list of etiologic agents identified as Class
4 agents as set forth in "Classification of Etiological Agents on the Basis
of Hazard, 1974", published by the Centers for Disease Control. On and after the effective date of this amendatory Act of the 102nd General Assembly, any person, including the Agency, may propose rules under Section 28 to amend the listing of etiologic agents
identified as Class 4 agents. When proposing rules, the proponent may consult classifications published by the U.S. Department of Health and Human Services, "Guidelines for Research Involving Recombinant DNA Molecules" published by the National Institutes for Health, or "Biosafety in Microbiological and Biomedical Laboratories" published by the Centers for Disease Control and Prevention. The Board shall take action on a proposal to amend the listing of Class 4 agents not later than 6 months after receiving it.
(f) In accord with Title VII of this Act, the Board may adopt regulations
to promote the purposes of this Title. The regulations prescribed in
subsection (a), (c), and (e) shall not limit the generality of this authority.
(Source: P.A. 102-243, eff. 8-3-21.)
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(415 ILCS 5/56.3) (from Ch. 111 1/2, par. 1056.3)
Sec. 56.3.
Commencing March 31, 1993, and annually thereafter, each
transporter of potentially infectious medical waste required to have a
permit under subsection (f) of Section 56.1 of this Act, each facility for
which a permit is required under subsection (g) of Section 56.1 of this Act
that stores, treats, or transfers potentially infectious medical waste and
each facility not required to have a permit under subsection (g) of Section
56.1 of this Act that treats more than 50 pounds per month of potentially
infectious medical waste shall file a report with the Agency specifying the
quantities and disposition of potentially infectious medical waste
transported, stored, treated, disposed, or transferred during the previous
calendar year. Such reports shall be on forms prescribed and provided by
the Agency.
(Source: P.A. 87-752; 87-1097.)
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(415 ILCS 5/56.4) (from Ch. 111 1/2, par. 1056.4)
Sec. 56.4.
Medical waste manifests.
(a) Manifests for potentially infectious medical waste shall
consist of an original (the first page of the form) and 3 copies. Upon
delivery of potentially infectious medical waste by a generator to a
transporter, the transporter shall deliver one copy of the completed
manifest to the generator. Upon delivery of potentially infectious medical
waste by a transporter to a treatment or disposal facility,
the transporter shall keep
one copy of the completed manifest, and the transporter shall deliver the
original and one copy of the completed manifest to the treatment or
disposal facility.
The treatment or disposal facility shall keep one copy of the
completed manifest and
return the original to the generator within 35 days. The manifest,
as provided for in this Section, shall not terminate while
being transferred between the generator, transporter, transfer station, or
storage facility, unless transfer activities are conducted at the treatment or
disposal facility. The manifest shall terminate at the treatment or disposal
facility.
(b) Potentially infectious medical waste manifests shall be in a form
prescribed and provided by the Agency. Generators and transporters of
potentially infectious medical waste and facilities accepting potentially
infectious medical waste are not required to submit copies of such
manifests to the Agency. The manifest described in this Section shall be
used for the transportation of potentially infectious medical waste instead
of the manifest described in Section 22.01 of this Act. Copies of each
manifest shall be retained for 3 years by generators, transporters, and
facilities, and shall be available for inspection and copying by the Agency.
(c) The Agency shall assess a fee of $4.00 for each
potentially infectious medical waste manifest provided by the Agency.
(d) All fees collected by the Agency under this Section shall be
deposited into the Environmental Protection Permit and Inspection Fund. The
Agency may establish procedures relating to the collection of fees under
this Section. The Agency shall not refund any fee paid to it under this
Section.
(Source: P.A. 93-32, eff. 7-1-03.)
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(415 ILCS 5/56.5) (from Ch. 111 1/2, par. 1056.5)
Sec. 56.5.
Medical waste hauling fees.
(a) The Agency shall annually collect a $2000 fee
for each potentially infectious medical waste hauling permit application
and, in addition, shall collect a fee of $250 for each potentially
infectious medical waste hauling vehicle identified in the annual permit
application and for each vehicle that is added to the permit during the
annual period. Each applicant required to pay a fee under this Section
shall submit the fee along with the permit application. The Agency shall
deny any permit application for which a fee is required under this Section
that does not contain the appropriate fee.
(b) All fees collected by the Agency under this Section shall be
deposited into the Environmental Protection Permit and Inspection Fund.
The Agency may establish procedures relating to the collection of fees
under this Section. The Agency shall not refund any fee paid to it under
this Section.
(c) The Agency shall not collect a fee under this Section from any
hospital that transports only potentially infectious medical waste
generated by its own activities or by members of its medical staff.
(Source: P.A. 93-32, eff. 7-1-03.)
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(415 ILCS 5/56.6) (from Ch. 111 1/2, par. 1056.6)
Sec. 56.6.
Medical waste transportation fees.
(a) The Agency shall collect from each transporter of potentially
infectious medical waste required to have a permit under Section 56.1(f)
of this Act a fee in the amount of 3 cents per pound of
potentially infectious medical waste transported. The Agency shall collect
from each transporter of potentially infectious medical waste not required
to have a permit under Section 56.1(f)(1)(A) of this Act a fee in the
amount of 3 cents per pound of potentially infectious medical waste
transported to a site or facility not owned, controlled, or operated by the
transporter. The Agency shall deny any permit required under Section
56.1(f) of this Act from any applicant who has not paid to the Agency all
fees due under this Section.
A fee in the amount of 3 cents per pound of potentially
infectious medical waste shall be collected by the Agency from a potentially
infectious medical waste storage site or treatment facility receiving
potentially infectious medical waste, unless the fee has been previously paid
by a transporter.
(b) The Agency shall establish procedures, not later than January 1,
1992, relating to the collection of the fees authorized by this Section.
These procedures shall include, but not be limited to: (i) necessary
records identifying the quantities of potentially infectious medical waste
transported; (ii) the form and submission of reports to accompany the
payment of fees to the Agency; and (iii) the time and manner of payment of
fees to the Agency, which payments shall be not more often than quarterly.
(c) All fees collected by the Agency under this Section shall be
deposited into the Environmental Protection Permit and Inspection Fund. The
Agency may establish procedures relating to the collection of fees under
this Section. The Agency shall not refund any fee paid to it under this
Section.
(d) The Agency shall not collect a fee under this Section from a
person transporting potentially infectious medical waste to a hospital when
the person is a member of the hospital's medical staff.
(Source: P.A. 93-32, eff. 7-1-03.)
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(415 ILCS 5/56.7)
Sec. 56.7. No permit shall be required under subsection (d)(1) of Section 21 or subsection (g) of Section 56.1 of this
Act for a sharps collection station if the station is operated in accordance
with all of the following:
(1) The only waste accepted at the sharps collection | ||
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(2) The waste is stored and transferred in the same | ||
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(3) The waste is not treated at the sharps collection | ||
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(4) The waste is not disposed of at the sharps | ||
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(5) The waste is transported in the same manner as | ||
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(Source: P.A. 94-641, eff. 8-22-05.) |
(415 ILCS 5/56.8) Sec. 56.8. (Repealed).
(Source: P.A. 100-925, eff. 1-1-19. Repealed internally, eff. 12-31-22.) |
(415 ILCS 5/Tit. XVI heading) TITLE XVI.
PETROLEUM UNDERGROUND STORAGE TANKS
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(415 ILCS 5/57)
Sec. 57.
Intent and purpose.
This Title shall be
known and may be cited as the Leaking Underground Storage Tank Program
(LUST).
The purpose of this Title is, in accordance with the
requirements of the
Hazardous and Solid Waste Amendments of 1984 of the Resource Conservation and
Recovery Act of 1976 and in accordance with the State's interest in the
protection of Illinois' land and water resources: (1) to adopt
procedures for the
remediation of underground storage tank sites due to the release of petroleum
and other substances regulated under this Title from certain underground
storage tanks or related tank systems; (2) to establish and provide
procedures for
a Leaking Underground Storage Tank Program which will oversee and review any
remediation required for leaking underground storage tanks, and administer
the Underground Storage Tank Fund; (3) to establish an Underground Storage
Tank
Fund intended to be a State fund by which persons who qualify for access to the
Underground Storage Tank Fund may satisfy the financial responsibility
requirements under applicable State law and regulations; (4) to establish
requirements for eligible owners and operators of underground storage tanks to
seek payment for any costs associated with physical soil classification,
groundwater investigation, site classification and corrective action from the
Underground Storage Tank Fund; and (5) to audit and approve
corrective action efforts performed by Licensed Professional Engineers.
(Source: P.A. 91-357, eff. 7-29-99.)
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(415 ILCS 5/57.1)
Sec. 57.1.
Applicability.
(a) An owner or operator of an underground storage tank who meets the
definition of this Title shall be required to conduct tank removal,
abandonment and repair, site investigation, and corrective action in accordance with the requirements
of
the Leaking Underground Storage Tank Program.
(b) An owner or operator of a heating oil tank as defined by this Title may
elect to
perform tank removal, abandonment or repair, site investigation,
or corrective action, unless the
provisions of subsection (g) of Section 57.5 are applicable.
(c) All owners or operators who conduct tank removal, repair or
abandonment, site investigation, or
corrective action may be eligible for the relief provided for under Section
57.10 of this Title.
(d) The owners or operators, or both, of underground storage tanks
containing regulated substances other than petroleum shall undertake corrective
action in conformance with regulations promulgated by the Illinois Pollution
Control Board.
(Source: P.A. 92-554, eff. 6-24-02.)
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(415 ILCS 5/57.2)
Sec. 57.2. Definitions. As used in this Title:
"Audit" means a systematic inspection or examination of plans, reports,
records, or documents to determine the completeness and accuracy of the data
and
conclusions contained therein.
"Bodily injury" means bodily injury, sickness, or disease sustained by a
person, including death at any time, resulting from a release of petroleum from
an underground storage tank.
"Release" means any spilling, leaking, emitting, discharging,
escaping, leaching or disposing of petroleum from an underground storage tank
into groundwater, surface water or subsurface soils.
"Fill material" means non-native or disturbed materials used to bed and
backfill around an underground storage tank.
"Fund" means the Underground Storage Tank Fund.
"Heating Oil" means petroleum that is No. 1, No. 2, No. 4 - light, No. 4 -
heavy, No. 5 - light, No. 5 - heavy or No. 6 technical grades of fuel oil; and
other residual fuel oils including Navy Special Fuel Oil and Bunker C.
"Indemnification" means indemnification of an owner or operator for the
amount of any judgment entered against the owner or operator in a court of law,
for the amount of any final order or determination made against the owner or
operator by an agency of State government or any subdivision thereof, or for
the amount of any settlement entered into by the owner or operator, if the
judgment, order, determination, or settlement arises out of bodily injury or
property damage suffered as a result of a release of petroleum from an
underground storage tank owned or operated by the owner or operator.
"Corrective action" means activities associated with compliance with the
provisions of Sections 57.6 and 57.7 of this Title.
"Occurrence" means an accident, including continuous or repeated exposure
to conditions, that results in a sudden or nonsudden release from an
underground storage tank.
When used in connection with, or when otherwise relating to, underground
storage tanks, the terms "facility", "owner", "operator", "underground storage
tank", "(UST)", "petroleum" and "regulated substance" shall have the meanings
ascribed to them in Subtitle I of the Hazardous and Solid Waste Amendments of
1984 (P.L. 98-616), of the Resource Conservation and Recovery Act of 1976 (P.L.
94-580); provided however that the term "underground storage tank" shall also
mean an underground storage tank used exclusively to store heating oil for
consumptive use on the premises where stored and which serves other than a farm
or residential unit; provided further however that the term "owner" shall also mean any person who has submitted to the Agency a written election to proceed under this Title and has acquired an ownership interest in a site on which one or more registered tanks have been removed, but on which corrective action has not yet resulted in the issuance of a "no further remediation letter" by the Agency pursuant to this Title.
"Licensed Professional Engineer" means a person, corporation, or
partnership licensed under the laws of the State of Illinois to practice
professional engineering.
"Licensed Professional Geologist" means a person licensed under the laws of
the State of Illinois to practice as a professional geologist.
"Site" means any single location, place, tract of land or parcel
of property including contiguous property not separated by a public
right-of-way.
"Site investigation" means activities associated with compliance with the
provisions of subsection (a) of Section 57.7.
"Property damage" means physical injury to, destruction of, or contamination
of tangible property, including all resulting loss of use of that property; or
loss of use of tangible property that is not physically injured, destroyed, or
contaminated, but has been evacuated, withdrawn from use, or rendered
inaccessible because of a release of petroleum from an underground storage
tank.
"Class I Groundwater" means groundwater that meets the Class I: Potable
Resource Groundwater criteria set forth in the Board regulations adopted
pursuant to the Illinois Groundwater Protection Act.
"Class III Groundwater" means groundwater that meets the Class III: Special
Resource Groundwater criteria set forth in the Board regulations adopted
pursuant to the Illinois Groundwater Protection Act.
(Source: P.A. 94-274, eff. 1-1-06.)
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(415 ILCS 5/57.3)
Sec. 57.3.
Underground Storage Tank Program.
The General Assembly hereby
establishes the Illinois Leaking Underground Storage Tank Program (LUST
Program). The LUST Program shall be administered by the Office of the State
Fire Marshal and the Illinois Environmental Protection Agency.
(Source: P.A. 88-496.)
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(415 ILCS 5/57.4)
Sec. 57.4.
State Agencies.
The Office of State Fire Marshal and the Illinois
Environmental Protection Agency shall administer the Leaking Underground
Storage Tank Program in accordance with the terms of this Title.
(Source: P.A. 88-496.)
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(415 ILCS 5/57.5)
Sec. 57.5.
Underground Storage Tanks; removal; repair; abandonment.
(a) Notwithstanding the eligibility or the level of deductibility of an
owner or operator under the Underground Storage Tank Fund, any owner or
operator of an Underground Storage Tank may seek to remove or
abandon
such tank under the provisions of this Title. In order to be reimbursed under
Section 57.8, the owner or operator must comply with the provisions of this
Title. In no event will an owner or operator be reimbursed for any costs which
exceed the minimum requirements necessary to comply with this Title.
(b) Removal or abandonment of an Underground Storage
Tank must be
carried out in accordance with regulations adopted by the Office of State Fire
Marshal.
(c) The Office of the State Fire Marshal or a designated agent shall have an
inspector on site at the time of removal, abandonment, or such other times the
Office of State Fire Marshal deems appropriate. At such time, the inspector
shall, upon preliminary excavation of the tank site, render an opinion as to
whether a release of petroleum has occurred and, if so, the owner or operator
shall report the known or suspected release to the Illinois Emergency
Management
Agency. The owner or operator shall determine whether or not a release has
occurred in conformance with the regulations adopted by the Board and the
Office
of the State Fire Marshal. Except that if the opinion of the Office of the
State Fire
Marshal inspector is that a release of petroleum has occurred and the owner or
operator has reported the release to the Illinois Emergency Management Agency
within 24 hours of removal of the tank, no such determination is required under
this
subsection. In the event the owner or
operator
confirms the presence of a release of petroleum,
the
owner or operator shall comply with Section 57.6. The inspector
shall provide the
owner or operator, or a designated agent, with an "Eligibility and
Deductibility Determination" form. The Office of the State Fire Marshal shall
provide on-site assistance to the owner or operator or a designated agent with
regard to the eligibility and deductibility procedures as provided in Section
57.9. If the Office of the State Fire Marshal is not on site, the Office of
the State Fire Marshal shall provide the owner or operator with an "Eligibility
and Deductibility Determination" form within 15 days after receiving notice
that the confirmed release was reported by the owner or operator.
(d) In the event that a release of petroleum is confirmed under subsection
(c) of this Section, the owner or operator may elect to backfill the
preliminary excavation and proceed under Section 57.6.
(e) In the event that an Underground Storage Tank is found to be ineligible
for payment from the Underground Storage Tank Fund, the owner or operator shall
proceed under Sections 57.6 and 57.7.
(f) In the event that no release of petroleum is confirmed,
the owner or operator shall proceed to complete the removal
of the
underground storage tank, and when appropriate, dispose of the tank and
backfill the excavation or, in the alternate, abandon the underground storage
tank in place. Either option shall be in accordance with regulations adopted
by the Office of the State Fire Marshal. The owner or operator shall certify
to the Office of the State Fire Marshal that the tank removal or abandonment
was conducted in accordance with all applicable rules and regulations, and
the Office of the State Fire Marshal shall then issue a certificate of removal
or abandonment to the owner or operator.
If the Office of the State Fire Marshal fails to issue a certificate of
removal or abandonment within 30 days of receipt of the certification, the
certification shall be considered rejected by operation of law and a final
action appealable to the Board.
Nothing in this Title shall prohibit the Office of the State Fire Marshal from
making an independent inspection of the site and challenging the veracity of
the owner or operator certification.
(g) The owner or operator of an underground storage tank taken out of
operation before January 2, 1974, or an underground storage tank used
exclusively to store heating oil for consumptive use on the premises where
stored and which serves other than a farm or residential unit shall not be
required to remove or abandon in place such underground storage tank except in
the case in which the Office of the State Fire Marshal has determined that a
release from the underground storage tank poses a current or potential threat
to human health and the environment. In that case, and upon receipt of an
order from the Office of the State Fire Marshal, the owner or operator of such
underground storage tank shall conduct removal and, if necessary, site
investigation and corrective
action in accordance with this Title and regulations promulgated by the Office
of State Fire Marshal and the Board.
(h) In the event that a release of petroleum occurred between September
13, 1993, and August 1, 1994, for which the Office of the State Fire Marshal
issued a certificate of removal or abandonment based on its determination of
"no release" or "minor release," and the Office of the State Fire Marshal
subsequently has rescinded that determination and required a report of a
confirmed release to the Illinois Emergency Management Agency, the owner or
operator may be eligible for reimbursement for the costs of site
investigation and corrective action
incurred on or after the date of the release but prior to the notification of
the Illinois Emergency Management Agency. The date of the release shall be the
date of the initial inspection by the Office of the State Fire Marshal as
recorded in its inspection log. Eligibility and deductibility shall be
determined in accordance with this Title, the owner or operator must comply
with the provisions of this Act and its rules, and in no case shall the owner
or operator be reimbursed for costs exceeding the minimum requirements of this
Act and its rules.
(Source: P.A. 92-554, eff. 6-24-02.)
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(415 ILCS 5/57.6)
Sec. 57.6.
Underground storage tanks; early action.
(a) Owners and operators of underground storage tanks shall, in response to
all confirmed releases, comply with all applicable statutory and regulatory
reporting and response requirements.
(b) Notwithstanding any other corrective action taken, an owner or operator
may, at a minimum, and prior to submission of any plans to the Agency, remove
the tank system or abandon the underground storage tank in
place, in
accordance with the regulations promulgated by the Office of the State Fire
Marshal. The owner or operator may also remove visibly contaminated fill
material and any groundwater in the excavation which exhibits a sheen.
For purposes of payment for early action costs, however, fill material shall
not be removed in an amount in excess of 4 feet
from the outside dimensions of the tank.
(Source: P.A. 92-554, eff. 6-24-02.)
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(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 | ||
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(2) Any owner or operator intending to seek payment | ||
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(3) Remediation objectives for the applicable | ||
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(4) Upon the Agency's approval of a site | ||
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(5) Within 30 days after completing the site | ||
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(A) Executive summary. (B) Site history. (C) Site-specific sampling methods and results. (D) Documentation of all field activities, | ||
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(E) Documentation regarding the development of | ||
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(F) Interpretation of results. (G) Conclusions. (b) Corrective action. (1) If the site investigation confirms none of the | ||
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(2) If any of the applicable indicator contaminants | ||
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(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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(F) Applicable preventive, engineering, and | ||
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(G) A schedule for implementation and completion | ||
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(3) Any owner or operator intending to seek payment | ||
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(4) Upon the Agency's approval of a corrective action | ||
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(5) Within 30 days after the completion of a | ||
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(6) If within 4 years after the approval of any | ||
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(7) If the Agency determines any approved corrective | ||
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(c) Agency review and approval. (1) Agency approval of any plan and associated | ||
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(2) In the event the Agency fails to approve, | ||
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(A) For purposes of those plans as identified in | ||
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(B) For purposes of corrective action plans | ||
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(3) In approving any plan submitted pursuant to | ||
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(A) For purposes of payment from the Fund, | ||
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(i) For the site where the release occurred, | ||
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(ii) The use of industrial/commercial | ||
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(iii) The use of groundwater ordinances as | ||
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(iv) The use of on-site groundwater use | ||
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(B) Any bidding process adopted under Board rules | ||
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(i) The owner or operator must issue | ||
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(ii) At least 14 days prior to the date set | ||
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(iii) Bids must be opened publicly in the | ||
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(iv) Bids must be unconditionally accepted | ||
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(v) Correction or withdrawal of inadvertently | ||
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(vi) The owner or operator shall select the | ||
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(vii) All bidding documentation must be | ||
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(C) Any bidding process adopted under Board rules | ||
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(4) For any plan or report received after June 24, | ||
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(A) an explanation of the Sections of this Act | ||
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(B) an explanation of the provisions of the | ||
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(C) an explanation of the specific type of | ||
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(D) a statement of specific reasons why the Act | ||
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Any action by the Agency to disapprove or modify a | ||
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(5) For purposes of this Title, the term "plan" shall | ||
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(A) Any site investigation plan submitted | ||
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(B) Any site investigation budget submitted | ||
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(C) Any corrective action plan submitted pursuant | ||
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(D) Any corrective action plan budget submitted | ||
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(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
parameter shall be BTEX and Benzene; (ii) if the tank contained petroleum
products consisting of middle distillate or heavy 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, | ||
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(2) Upon receipt of a plan submitted after activities | ||
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(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. 98-109, eff. 7-25-13.) |
(415 ILCS 5/57.8)
Sec. 57.8. Underground Storage Tank Fund; payment; options for State payment;
deferred correction election to commence corrective action upon availability of
funds. If an owner or operator is eligible to access the Underground Storage
Tank Fund pursuant to an Office of State Fire Marshal eligibility/deductible
final determination letter issued in accordance with Section 57.9, the owner or
operator may submit a complete application for final or partial payment to the
Agency for activities taken in response to a confirmed release. An owner or
operator may submit a request for partial or final payment regarding a site no
more frequently than once every 90 days.
(a) Payment after completion of corrective action measures.
The owner or operator may submit an application for payment for
activities performed at a site after completion of the requirements of Sections
57.6 and 57.7, or after completion of any other required activities at the
underground storage tank site.
(1) In the case of any approved plan and budget for | ||
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(2) If sufficient funds are available in the | ||
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(3) In the case of insufficient funds, the Agency | ||
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(4) Any deductible, as determined pursuant to the | ||
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(5) In the event that costs are or will be incurred | ||
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(6) For purposes of this Section, a complete | ||
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(A) A certification from a Licensed Professional | ||
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(B) A statement of the amounts approved in the | ||
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(C) A copy of the Office of the State Fire | ||
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(D) Proof that approval of the payment requested | ||
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(E) A federal taxpayer identification number and | ||
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(F) If the Agency determined under subsection | ||
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(b) Commencement of site investigation or corrective action upon
availability of funds.
The Board shall adopt regulations setting forth procedures based on risk to
human health or the environment under which the owner or operator who has
received approval for any budget plan submitted pursuant to Section
57.7, and who is eligible for payment from the Underground Storage Tank Fund
pursuant to an Office of the State Fire Marshal eligibility and deductibility
determination, may elect to defer site investigation or corrective action activities until funds are available
in
an amount equal to the amount approved in the budget. The regulations
shall establish criteria based on risk to human health or the environment to be
used for determining on a site-by-site basis whether deferral is appropriate.
The regulations also shall establish the minimum investigatory requirements for
determining whether the risk based criteria are present at a site considering
deferral and procedures for the notification of owners or operators of
insufficient funds, Agency review of request for deferral, notification of
Agency final decisions, returning deferred sites to active status, and
earmarking of funds for payment.
(c) When the owner or operator requests indemnification for payment of costs
incurred as a result of a release of petroleum from an underground storage
tank, if the owner or operator has satisfied the requirements of subsection (a)
of this Section, the Agency shall forward a copy of the request to the Attorney
General. The Attorney General shall review and approve the request for
indemnification if:
(1) there is a legally enforceable judgment entered | ||
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(2) a settlement with a third party due to a release | ||
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(d) Notwithstanding any other provision of this Title, the Agency shall not
approve payment to an owner or operator from the Fund for costs of corrective
action or indemnification incurred during a calendar year in excess of the
following aggregate amounts based on the number of petroleum underground
storage tanks owned or operated by such owner or operator in Illinois.
Amount
Number of Tanks $2,000,000
fewer than 101 $3,000,000
101 or more
(1) Costs incurred in excess of the aggregate amounts | ||
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(2) For purposes of this subsection, requests | ||
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(3) For purposes of this subsection, owner or | ||
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(e) Costs of corrective action or indemnification incurred by an owner or
operator which have been paid to an owner or operator under a policy of
insurance, another written agreement, or a court order are not eligible for
payment under this Section. An owner or operator who receives payment under a
policy of insurance, another written agreement, or a court order shall
reimburse the State to the extent such payment covers costs for which payment
was received from the Fund. Any monies received by the State under this
subsection (e) shall be deposited into the Fund.
(f) (Blank.)
(g) The Agency shall not approve any payment from the Fund to pay an owner
or operator:
(1) for costs of corrective action incurred by such | ||
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(2) for costs of indemnification of such owner or | ||
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(h) Payment of any amount from the Fund for corrective action or
indemnification shall be subject to the State acquiring by subrogation the
rights of any owner, operator, or other person to recover the costs of
corrective action or indemnification for which the Fund has compensated such
owner, operator, or person from the person responsible or liable for the
release.
(i) If the Agency refuses to pay or authorizes only
a partial payment, the affected owner or operator may petition the Board for a
hearing in the manner provided for the review of permit decisions in Section 40
of this Act.
(j) Costs of corrective action or indemnification incurred by an owner or
operator prior to July 28, 1989, shall not be eligible for payment or
reimbursement under this Section.
(k) The Agency shall not pay costs of corrective action or
indemnification incurred before providing notification of the release of
petroleum in accordance with the provisions of this Title.
(l) Corrective action does not include legal defense costs. Legal defense
costs include legal costs for seeking payment under this Title unless the owner
or operator prevails before the Board in which case the Board may authorize
payment of legal fees.
(m) The Agency may apportion payment of costs for plans submitted under
Section 57.7 if:
(1) the owner or operator was deemed eligible to | ||
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(2) the owner or operator failed to justify all costs | ||
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(n) The Agency shall not pay costs associated with a corrective action
plan incurred after the Agency provides
notification to the owner or operator pursuant to item (7) of subsection (b) of
Section 57.7 that a revised corrective action plan
is required. Costs associated with any subsequently approved corrective action
plan shall be eligible for reimbursement if they
meet the requirements of this Title.
(Source: P.A. 98-109, eff. 7-25-13.)
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(415 ILCS 5/57.8a) Sec. 57.8a. Assignment of payments from the Underground Storage Tank Fund. (a) If the Agency has formed a priority list for payment under Section 57.8(a)(3) of this Act, an owner or operator on the priority list may assign to any bank, financial institution, lender, or other person that provides factoring or financing to an owner or operator or to a consultant of an owner or operator a full approved payment amount on the priority list for which the owner or operator is awaiting payment. The assignment must be made on an approved payment-by-approved payment basis and must be made on forms prescribed by the Agency. No assignment under this Section prevents or affects the right of the State Comptroller to make the deductions and off-sets provided in Section 10.05 of the State Comptroller Act. (b) The making of an assignment under this Section shall not affect an owner's or operator's right to appeal an Agency decision as provided in this Title. No assignee shall have a right to appeal an Agency decision as provided in this Title. (c) An owner's or operator's assignment under this Section is irrevocable and may be made to only one assignee. The State shall pay the assigned amount, subject to right of the State Comptroller to make the deductions and off-sets provided in Section 10.05 of the State Comptroller Act, to this one assignee only and shall not pay the assigned amount to any subsequent assignee of the one assignee. (d) The State and its officers and employees are discharged of all liability upon payment of the assigned amount to the assignee. The assignor and assignee shall hold harmless and indemnify the State and its officers and employees from all claims, actions, suits, complaints, and liabilities related to the assignment. (e) An assignee may use funds received for any purpose including, without limitation, paying principal, interest, or other costs due on any financing made by the assignee. To the extent an owner or operator incurs costs associated with making an assignment under this Section, the owner or operator may not seek reimbursement of those costs from the Fund.
(Source: P.A. 95-403, eff. 8-24-07.) |
(415 ILCS 5/57.9)
Sec. 57.9. Underground Storage Tank Fund; eligibility and deductibility.
(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:
(1) Neither the owner nor the operator is the United | ||
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(2) The tank does not contain fuel which is exempt | ||
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(3) The costs were incurred as a result of a | ||
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(A) "Fuel", as defined in Section 1.19 of the | ||
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(B) Aviation fuel.
(C) Heating oil.
(D) Kerosene.
(E) Used oil which has been refined from crude | ||
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(4) The owner or operator registered the tank and | ||
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(5) The owner or operator notified the Illinois | ||
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(6) The costs have not already been paid to the owner | ||
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(7) The costs were associated with "corrective | ||
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If the underground storage tank which experienced a | ||
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(b) For releases reported prior to 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 $10,000 deductible, except in the following situations:
(1) A deductible of $100,000 shall apply when none of | ||
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(2) A deductible of $50,000 shall apply if any of the | ||
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(3) A deductible of $15,000 shall apply when one or | ||
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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.
(c) Eligibility and deductibility determinations shall be made by the Office
of the State Fire Marshal.
(1) When an owner or operator reports a confirmed | ||
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(2) Within 60 days of receipt of the "Eligibility and | ||
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(Source: P.A. 96-908, eff. 6-8-10.)
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(415 ILCS 5/57.10)
Sec. 57.10. Professional Engineer or Professional Geologist
certification; presumptions against liability.
(a) Within 120 days of the Agency's receipt of a
corrective action completion report, the Agency
shall issue to the owner or operator a "no further remediation letter" unless
the Agency has requested a modification, issued a rejection under
subsection (d) of this Section, or the report has been rejected by operation
of law.
(b) By certifying such a statement, a Licensed Professional Engineer or
Licensed Professional Geologist shall in no way be liable thereon, unless
the engineer or geologist gave such certification despite his or her actual
knowledge that the performed measures were not in compliance with applicable
statutory or regulatory requirements or any plan submitted to the Agency.
(c) The Agency's issuance of a no further remediation letter shall signify,
based on the certification of the Licensed Professional Engineer, that:
(1) all statutory and regulatory corrective action | ||
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(2) all corrective action concerning the remediation | ||
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(3) no further corrective action concerning the | ||
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This subsection (c) does not apply to off-site contamination related to the occurrence that has not been remediated due to denial of access to the off-site property.
(d) The no further remediation letter issued under this
Section
shall apply in favor of the following
parties:
(1) The owner or operator to whom the letter was | ||
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(2) Any parent corporation or subsidiary of such | ||
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(3) Any co-owner or co-operator, either by joint | ||
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(4) Any holder of a beneficial interest of a land | ||
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(5) Any mortgagee or trustee of a deed of trust of | ||
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(6) Any successor-in-interest of such owner or | ||
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(7) Any transferee of such owner or operator whether | ||
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(8) Any heir or devisee or such owner or operator. (9) An owner of a parcel of real property to the | ||
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(e) If the Agency notifies the owner or operator that the "no
further
remediation" letter has been rejected, the grounds for such rejection shall be
described in the notice. Such a decision shall be a final determination which
may be appealed by the owner or operator.
(f) The Board shall adopt rules setting forth the criteria under which the
Agency may require an owner or operator to conduct further investigation or
remediation related to a release for which a no further remediation letter
has been issued.
(g) Holders of security interests in sites subject to the requirements of
this Title XVI shall be entitled to the same protections and subject to the
same responsibilities provided under general regulations promulgated under
Subtitle I of the Hazardous and Solid Waste Amendments of 1984 (P.L. 98-616)
of the Resource Conservation and Recovery Act of 1976 (P.L. 94-580).
(Source: P.A. 94-276, eff. 1-1-06.)
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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 moneys 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, fees pursuant to the Motor Fuel Tax Law, and beginning July 1, 2013, payments pursuant to the Use Tax Act, the Service Use Tax Act, the Service Occupation Tax Act, and the Retailers' Occupation Tax Act. 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 quarterly. In addition to any other transfers that may be provided for by law, beginning on July 1, 2018 and on the first day of each month thereafter during fiscal years 2019 through 2025 only, the State Comptroller shall direct and the State Treasurer shall transfer an amount equal to 1/12 of $10,000,000 from the Underground Storage Tank Fund to the General Revenue Fund. 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 | ||
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(2) To assist in the reduction and mitigation of | ||
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(3) To be used as a matching amount towards federal | ||
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(4) For the costs of administering activities of the | ||
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(5) For payment of costs of corrective action | ||
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(6) For a total of 2 demonstration projects in | ||
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(7) Subject to appropriation, moneys in the | ||
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(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) | ||
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(2) The Agency may adopt rules governing the | ||
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(3) This subsection (e) does not limit the use of | ||
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(4) For the purposes of this subsection (e), the term | ||
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(f) Beginning July 1, 2013, if the amounts deposited into the Fund from moneys 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 during a State fiscal year are sufficient to pay all claims for payment by the fund received during that State fiscal year, then the amount of any payments into the fund pursuant to the Use Tax Act, the Service Use Tax Act, the Service Occupation Tax Act, and the Retailers' Occupation Tax Act during that State fiscal year shall be deposited as follows: 75% thereof shall be paid into the State treasury and 25% shall be reserved in a special account and used only for the transfer to the Common School Fund as part of the monthly transfer from the General Revenue Fund in accordance with Section 8a of the State Finance Act. (Source: P.A. 102-16, eff. 6-17-21; 102-699, eff. 4-19-22; 103-8, eff. 6-7-23; 103-588, eff. 6-5-24.) |
(415 ILCS 5/57.12)
Sec. 57.12.
Underground storage tanks; enforcement; liability.
(a) Notwithstanding any other provision or rule of law, the owner or
operator, or both, of an underground storage tank shall be liable for all costs
of investigation, preventive action, corrective action and enforcement action
incurred by the State of Illinois resulting from an underground storage tank.
Nothing in this Section shall affect or modify in any way:
(1) The obligations or liability of any person under | ||
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(2) the liability of any person under this Section | ||
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(b) Nothing in this Section shall affect or modify in any way the
obligations or liability of any person under any other provision of this Act or
State or federal law, including common law, to investigate, respond to,
remediate, or clean up a release of a regulated substance from an underground
storage tank.
(c) The Agency has the authority to do either of the following:
(1) Provide notice to the owner or operator, or both, | ||
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(2) Undertake investigative, preventive or corrective | ||
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(d) If notice has been provided under this Section, the Agency has the
authority to require the owner or operator, or both, of an underground storage
tank to undertake preventive or corrective action whenever there is a release
or substantial threat of a release of petroleum from such tank.
(e) The Director of the Agency is authorized to enter into such contracts
and agreements as may be necessary, and as expeditiously as necessary, to carry
out the Agency's duties or responsibilities under this Title.
(f) (1) The owner or operator, or both, of an underground storage tank may
be liable to the State of Illinois for punitive damages in an amount at least
equal to, and not more than 3 times, the amount of any costs incurred
by the
State as a result of the State's response to a release or a substantial threat
of a release of petroleum from the underground storage tank if the owner or
operator failed, without sufficient cause, to respond to a release or a
substantial threat of a release of a regulated substance from the underground
storage tank upon, or in accordance with, a notice issued by the Agency under
this Section.
(2) The punitive damages imposed under this subsection (f) shall be in
addition to any costs recovered from that person pursuant to this Section and
in addition to any other penalty or relief provided by this Act, or any other
law.
(g) The standard of liability under this Section is the standard of
liability under Section 22.2(f) of this Act.
(h) Neither the State of Illinois, nor the Director of the Agency, nor any
State employee shall be liable for any damages or injuries arising out of or
resulting from any action taken under this Section.
(i) The costs and damages provided for in this Section may be imposed by the
Board or the Circuit Court in an action brought before the Board or the Circuit
Court in accordance with Title VIII of this Act, except that Section 33(c) of
this Act shall not apply to the action. Costs recovered pursuant to this
Section shall be deposited in the fund from which the monies were expended.
Damages recovered under this Section shall be deposited in the
Underground Storage Tank Fund.
(Source: P.A. 88-496; 89-428, eff. 1-1-96; 89-457, eff. 5-22-96.)
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(415 ILCS 5/57.12A)
Sec. 57.12A.
Lender liability; definitions.
(a) Notwithstanding any other provision or rule of law, the term "owner"
or "operator" does not include a holder who, without participating in the
management of a facility, underground storage tank, or underground storage tank
system, holds any indicia of ownership primarily to protect its
security interest in the facility, underground storage tank, or underground
storage tank system.
(b) As used in this Section, and notwithstanding any other provision or rule
of law:
(1) "Underground Storage Tank technical standards" | ||
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(2) Petroleum production, refining, and marketing.
(A) "Petroleum production" means the production | ||
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(B) "Petroleum refining" means the cracking, | ||
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(C) "Petroleum marketing" means the distribution, | ||
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(3) "Indicia of ownership" means evidence of a | ||
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(4) A "holder" is a person who maintains indicia of | ||
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(5) A "borrower", "debtor", or "obligor" is a person | ||
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(6) "Primarily to protect a security interest" means | ||
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(A) "Security interest" means an interest in a | ||
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(B) "Primarily to protect a security interest", | ||
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(c) Participation in management.
The term "participating in the management
of an underground storage tank or underground storage tank system" means that
the holder is engaging in acts of petroleum underground storage tank or
underground storage tank system management, as defined herein.
(1) Actions that are participation in management | ||
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Participation in the management of an underground | ||
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(A) exercises decision making control over the | ||
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(B) exercises control at a level comparable to | ||
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(2) Actions that are not participation in management | ||
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(A) Actions at the inception of the loan or other | ||
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(B) Loan policing and workout. Actions that are | ||
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(i) Policing the security interest or loan. A | ||
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(ii) Loan workout. A holder who engages in | ||
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(3) Foreclosure on an underground storage tank or | ||
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(A) Foreclosure. Indicia of ownership that are | ||
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(B) Holding foreclosed property for disposition and | ||
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(i) A holder establishes that the ownership | ||
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If the holder fails to act diligently to acquire | ||
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(ii) A holder that outbids, rejects, or fails to | ||
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(A) "Fair consideration", in the case of a holder | ||
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(B) "Outbids, rejects, or fails to act upon an offer | ||
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(d) Ownership of an underground storage tank and underground storage tank
system.
(1) Ownership of an underground storage tank or | ||
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(A) does not participate in the management of the | ||
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(B) does not engage in petroleum production, | ||
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(2) Ownership of an underground storage tank or | ||
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(A) does not participate in the management of the | ||
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(B) does not engage in petroleum production, | ||
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(e) Operating an underground storage tank or underground storage tank
system.
(1) Operating an underground storage tank or | ||
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(2) Operating an underground storage tank or | ||
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(A) A holder who has not participated in management | ||
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(B) In addition, the holder shall either:
(i) "permanently" close the underground storage | ||
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(ii) "temporarily" close the underground storage | ||
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(C) A holder who acquires a petroleum underground | ||
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(f) Actions taken to protect human health and the environment. A holder is
not considered to be an operator of an underground storage tank
or underground storage tank system or to be participating in the management of
an underground storage tank or underground storage tank system solely on the
basis of undertaking actions under a federal or State law or regulation,
provided that the holder does not otherwise participate in the management or
daily operation of the underground storage tank or underground storage tank
system. Such actions include, but are not limited to, release reporting,
release response and corrective action, temporary or permanent closure of an
underground storage tank or underground storage tank system, underground
storage tank upgrading or replacement, and maintenance of corrosion
protection. A holder who undertakes these
actions must do so in compliance with the applicable requirements of this Act.
(g) Financial responsibility. A holder is exempt from the requirement to
demonstrate financial responsibility under any State law or rule, provided the
holder:
(1) does not participate in the management of the | ||
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(2) does not engage in petroleum production, | ||
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(3) complies with the requirements of subsection (e).
(Source: P.A. 89-200, eff. 1-1-96; 89-626, eff. 8-9-96.)
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(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. (Source: P.A. 95-331, eff. 8-21-07; 96-908, eff. 6-8-10.) |
(415 ILCS 5/57.14)
Sec. 57.14.
(Repealed).
(Source: P.A. 91-357, eff. 7-29-99. Repealed by P.A.
91-798, eff. 7-9-00.)
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(415 ILCS 5/57.14A)
Sec. 57.14A.
Rules.
(a) The Agency shall propose and the Board shall adopt amendments to the
rules
governing the administration of this
Title to make the rules consistent with the provisions herein.
(b) Until such time as the amended rules required under this Section
take effect, the Agency shall administer this Title in accordance with the
provisions herein.
(Source: P.A. 92-554, eff. 6-24-02.)
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(415 ILCS 5/57.15)
Sec. 57.15.
Authority to audit.
The Agency has the authority to audit all
data, reports, plans, documents and budgets submitted pursuant to this Title.
If the data, report, plan, document or budget audited by the Agency pursuant to
this Section fails to conform to all applicable requirements of this Title, the
Agency may take appropriate actions.
(Source: P.A. 88-496.)
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(415 ILCS 5/57.16)
Sec. 57.16.
Severability.
The provisions of this Title are severable under
Section 1.31 of the Statute on Statutes.
(Source: P.A. 88-496.)
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(415 ILCS 5/57.17)
Sec. 57.17. (Repealed).
(Source: P.A. 88-496. Repealed by P.A. 98-822, eff. 8-1-14.)
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(415 ILCS 5/57.18) 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.
(Source: P.A. 96-908, eff. 6-8-10.) |
(415 ILCS 5/57.19) 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 | ||
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(2) Corrective action to address groundwater | ||
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(3) Corrective action to address groundwater | ||
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(4) The disposal of soil that does not exceed | ||
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(5) The disposal of water exceeding groundwater | ||
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(Source: P.A. 96-908, eff. 6-8-10.) |
(415 ILCS 5/Tit. XVII heading) TITLE XVII:
SITE REMEDIATION PROGRAM
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(415 ILCS 5/58)
Sec. 58.
Intent.
It is the intent of this Title:
(1) To establish a risk-based system of remediation | ||
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(2) To assure that the land use for which remedial | ||
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(3) To provide incentives to the private sector to | ||
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(4) To establish expeditious alternatives for the | ||
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(5) To assure that the resources of the Hazardous | ||
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(6) To provide assistance to units of local | ||
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(Source: P.A. 90-123, eff.
7-21-97; 91-36, eff. 6-15-99.)
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(415 ILCS 5/58.1)
Sec. 58.1.
Applicability.
(a) (1) This Title establishes the procedures for the investigative and
remedial activities at sites where there is a release, threatened release, or
suspected release of hazardous substances, pesticides, or petroleum and for the
review and approval of those activities.
(2) Any person, including persons required to perform investigations and
remediations under this Act, may elect to proceed under this Title unless (i)
the site is on the National Priorities List (Appendix B of 40 CFR 300), (ii)
the site is a treatment, storage, or disposal site for which a permit has been
issued, or that is subject to closure requirements under federal or State solid
or hazardous waste laws, (iii) the site is subject to federal or State
underground storage tank laws, or (iv) investigation or remedial action at
the site has been required by a federal court order or an order issued by the
United States Environmental Protection Agency. To the extent allowed by
federal law and regulations, the sites listed under items (i), (ii), (iii), and
(iv) may utilize the provisions of this Title, including the procedures for
establishing risk-based remediation objectives under Section 58.5.
(b) Except for sites excluded under subdivision (a) (2) of this Section,
the Remediation Applicant (RA) for any site that has not received an Agency
letter under subsection (y) of Section 4 of this Act may elect to proceed under
the provisions of this Title by submitting a written statement of the election
to the Agency. In the absence of such election, the RA shall continue under
the provisions of this Act as applicable prior to the effective date of this
amendatory Act of 1995.
(c) Except for sites excluded under subdivision (a) (2) of this Section,
agrichemical facilities may elect to undertake corrective action in conformance
with this Title and rules promulgated by the Board thereunder and land
application programs administered by the Department of Agriculture as provided
under Section 19 of the Illinois Pesticide Act, and shall be eligible for the
relief provided under Section 58.10.
(Source: P.A. 89-431, eff. 12-15-95; 89-443, eff. 7-1-96.)
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(415 ILCS 5/58.2)
Sec. 58.2. Definitions. The following words and phrases when used in this
Title shall have the meanings given to them in this Section unless the context
clearly indicates otherwise:
"Agrichemical facility" means a site on which agricultural pesticides are
stored or handled, or both, in preparation for end use, or distributed. The
term does not include basic manufacturing facility sites.
"ASTM" means the American Society for Testing and Materials.
"Area background" means concentrations of regulated substances that are
consistently present in the environment in the vicinity of a site that are the
result of natural conditions or human activities, and not the result solely of
releases at the site.
"Brownfields site" or "brownfields" means a parcel of real property, or a
portion of the parcel, that has actual or perceived contamination and an
active potential for redevelopment.
"Class I groundwater" means groundwater that meets the Class I Potable
Resource groundwater criteria set forth in the Board rules adopted under the
Illinois Groundwater Protection Act.
"Class III groundwater" means groundwater that meets the Class III Special
Resource Groundwater criteria set forth in the Board rules adopted under the
Illinois Groundwater Protection Act.
"Carcinogen" means a contaminant that is classified as a Category A1 or A2
Carcinogen by the American Conference of Governmental Industrial Hygienists; or
a Category 1 or 2A/2B Carcinogen by the World Health Organizations
International Agency for Research on Cancer; or a "Human Carcinogen" or
"Anticipated Human Carcinogen" by the United States Department of Health and
Human Service National Toxicological Program; or a Category A or B1/B2
Carcinogen by the United States Environmental Protection Agency in Integrated
Risk Information System or a Final Rule issued in a Federal Register notice by
the USEPA as of the effective date of this amendatory Act of 1995.
"Licensed Professional Engineer" (LPE) means a person, corporation, or
partnership licensed under the laws of this State to practice professional
engineering.
"Licensed Professional Geologist" means a person licensed under the laws of
the State of Illinois to practice as a professional geologist.
"RELPEG" means a Licensed Professional Engineer or a Licensed Professional
Geologist engaged in review and evaluation under this Title.
"Man-made pathway" means constructed routes that may allow for the
transport of regulated substances including, but not limited to, sewers,
utility lines, utility vaults, building foundations, basements, crawl spaces,
drainage ditches, or previously excavated and filled areas.
"Municipality" means an incorporated city, village, or town in this State.
"Municipality" does not mean a township, town when that term is used as the
equivalent of a
township, incorporated town that has superseded a civil township, county,
or school district, park district, sanitary district, or similar governmental
district.
"Natural pathway" means natural routes for the transport of regulated
substances including, but not limited to, soil, groundwater, sand seams and
lenses, and gravel seams and lenses.
"Person" means individual, trust, firm, joint stock company, joint venture,
consortium, commercial entity, corporation (including a government
corporation), partnership, association, State, municipality, commission,
political subdivision of a State, or any interstate body including the United
States Government and each department, agency, and instrumentality of the
United States.
"Regulated substance" means any hazardous substance as defined under Section
101(14) of the Comprehensive Environmental Response, Compensation, and
Liability Act of 1980 (P.L. 96-510) and petroleum products including crude oil
or any fraction thereof, natural gas, natural gas liquids, liquefied natural
gas, or synthetic gas usable for fuel (or mixtures of natural gas and such
synthetic gas).
"Remedial action" means activities associated with compliance with the
provisions of Sections 58.6 and 58.7.
"Remediation Applicant" (RA) means any person seeking to perform or
performing investigative or remedial activities under this Title, including an
owner or operator of the site or a person authorized by law or consent to act
on behalf of or in lieu of an owner or operator of the site.
"Remediation costs" means reasonable costs paid for investigating
and remediating regulated substances of concern consistent with the remedy
selected for a site. For purposes
of Section 58.14, "remediation costs" shall not include costs incurred prior to
January 1, 1998, costs incurred after the issuance of a No Further
Remediation Letter under Section 58.10 of this Act, or costs incurred more than
12 months prior to acceptance into the Site Remediation Program. For the purpose of Section 58.14a, "remediation costs" do not include any costs incurred before January 1, 2007, any costs incurred after the issuance of a No Further Remediation Letter under Section 58.10, or any costs incurred more than 12 months before acceptance into the Site Remediation Program.
"Residential property" means any real property that is used for habitation by
individuals and other property uses defined by Board rules such as education,
health care, child care and related uses.
"River Edge Redevelopment Zone" has the meaning set forth under the River Edge Redevelopment Zone Act.
"Site" means any single location, place, tract of land or parcel of property,
or portion thereof, including contiguous property separated by a public
right-of-way.
"Regulated substance of concern" means any contaminant that is expected to be
present at the site based upon past and current land uses and associated
releases that are known to the Remediation Applicant based upon reasonable
inquiry.
(Source: P.A. 103-172, eff. 1-1-24 .)
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(415 ILCS 5/58.3)
Sec. 58.3. Site Investigation and Remedial Activities Program; Brownfields
Redevelopment Fund. (a) The General Assembly hereby establishes by this Title a Site
Investigation and
Remedial Activities Program for sites subject to this Title. This program
shall be administered by the Illinois Environmental Protection Agency under
this Title XVII and rules adopted by the Illinois Pollution Control Board.
(b) (1) The General Assembly hereby creates within the | ||
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(2) The State Treasurer, ex officio, shall be the | ||
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(3) Pursuant to appropriation, all moneys in the Fund | ||
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(4) The Agency shall have the power to enter into | ||
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(5) The Agency is authorized to administer funds made | ||
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(Source: P.A. 95-331, eff. 8-21-07.)
|
(415 ILCS 5/58.4)
Sec. 58.4.
Permit waiver.
A State permit or permit revision which is not
otherwise required by federal law or regulations shall not be required for
remedial action activities undertaken pursuant to the provisions of this Title
that occur entirely on the site.
(Source: P.A. 89-431, eff. 12-15-95; 89-443, eff. 7-1-96.)
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(415 ILCS 5/58.5) Sec. 58.5. Risk-based remediation objectives. (a) Determination of remediation objectives. This Section establishes the procedures for determining risk-based remediation objectives. (b) Background area remediation objectives. (1) Except as provided in subdivisions (b)(2) or | ||
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(2) In the event that the concentration of a | ||
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(3) In the event that the Agency has determined in | ||
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(c) Regulations establishing remediation objectives and methodologies for deriving remediation objectives for individual or classes of regulated substances shall be adopted by the Board in accordance with this Section and Section 58.11. (1) The regulations shall provide for the adoption of | ||
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(2) The regulations shall provide procedures for | ||
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(3) The regulations shall provide procedures for | ||
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(4) The methodologies adopted under this Section | ||
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(A) potential risks posed by carcinogens and | ||
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(B) the presence of multiple substances of | ||
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(d) In developing remediation objectives under subsection (c) of this Section, the methodology proposed and adopted shall establish tiers addressing manmade and natural pathways of exposure, including, but not limited to, human ingestion, human inhalation, and groundwater protection. For carcinogens, soil and groundwater remediation objectives shall be established at exposures that represent an excess upper-bound lifetime risk of between 1 in 10,000 and 1 in 1,000,000 as appropriate for the post-remedial action use, except that remediation objectives protecting residential use shall be based on exposures that represent an excess upper-bound lifetime risk of 1 in 1,000,000. No groundwater remediation objective adopted pursuant to this Section shall be more restrictive than the applicable Class I or Class III Groundwater Quality Standard adopted by the Board. At a minimum, the objectives shall include the following: (1) Tier I remediation objectives expressed as a | ||
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(2) Tier II remediation objectives shall include the | ||
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(3) Tier III remediation objectives shall include | ||
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(A) The use of specific site characteristic data. (B) The use of appropriate exposure factors for | ||
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(C) The use of appropriate statistical | ||
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(D) The actual and potential impact of regulated | ||
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(4) For regulated substances that have a groundwater | ||
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(A) The RA proposing any site specific | ||
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(i) To the extent practical, the exceedance | ||
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(ii) Any threat to human health or the | ||
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(B) The rules proposed by the Agency and adopted | ||
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(e) The rules proposed by the Agency and adopted by the Board under this Section shall include conditions for the establishment and duration of groundwater management zones by rule, as appropriate, at sites undergoing remedial action under this Title. (f) Until such time as the Board adopts remediation objectives under this Section, the remediation objectives adopted by the Board under Title XVI of this Act shall apply to all environmental assessments and soil or groundwater remedial action conducted under this Title. (Source: P.A. 103-605, eff. 7-1-24.) |
(415 ILCS 5/58.6) Sec. 58.6. Remedial investigations and reports. (a) Any RA who proceeds under this Title may elect to seek review and approval for any of the remediation objectives provided in Section 58.5 for any or all regulated substances of concern. The RA shall conduct investigations and remedial activities for regulated substances of concern and prepare plans and reports in accordance with this Section and rules adopted hereunder. The RA shall submit the plans and reports for review and approval in accordance with Section 58.7. All investigations, plans, and reports conducted or prepared under this Section shall be under the supervision of a Licensed Professional Engineer (LPE) or, in the case of a site investigation only, a Licensed Professional Geologist in accordance with the requirements of this Title. (b) Site investigation and Site Investigation Report. (1) The RA shall conduct a site investigation to | ||
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(2) The RA shall compile the results of the | ||
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(A) Executive summary; (B) Site history; (C) Site-specific sampling methods and results; (D) Documentation of field activities, including | ||
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(E) Interpretation of results; and (F) Conclusions. (c) Remediation Objectives Report. (1) If an RA elects to determine remediation | ||
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(2) If an RA elects to determine remediation | ||
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(d) Remedial Action Plan. If the approved remediation objectives for any regulated substance established under Section 58.5 are less than the levels existing at the site prior to any remedial action, the RA shall prepare a Remedial Action Plan. The Remedial Action 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 reports shall include the following, as applicable: (1) Executive summary; (2) Statement of remediation objectives; (3) Remedial technologies selected; (4) Confirmation sampling plan; (5) Current and projected future use of the property; | ||
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(6) Applicable preventive, engineering, and | ||
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(e) Remedial Action Completion Report. (1) Upon completion of the Remedial Action Plan, the | ||
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(2) If the approved remediation objectives for the | ||
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(f) Ability to proceed. The RA may elect to prepare and submit for review and approval any and all reports or plans required under the provisions of this Section individually, following completion of each such activity; concurrently, following completion of all activities; or in any other combination. In any event, the review and approval process shall proceed in accordance with Section 58.7 and rules adopted thereunder. (g) Nothing in this Section shall prevent an RA from implementing or conducting an interim or any other remedial measure prior to election to proceed under Section 58.6. (h) In accordance with Section 58.11, the Agency shall propose and the Board shall adopt rules to carry out the purposes of this Section. (Source: P.A. 103-605, eff. 7-1-24.) |
(415 ILCS 5/58.7) Sec. 58.7. Review and approvals. (a) Requirements. All plans and reports that are submitted pursuant to this Title shall be submitted for review or approval in accordance with this Section. (b) Review and evaluation by the Agency. (1) Except for sites excluded under subdivision | ||
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(A) Conform with the procedures of this Title; (B) Allow for or otherwise arrange site visits or | ||
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(C) Agree to perform the Remedial Action Plan as | ||
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(D) Agree to pay any reasonable costs incurred | ||
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(E) Make an advance partial payment to the Agency | ||
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(F) Demonstrate, if necessary, authority to act | ||
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(2) Any moneys received by the State for costs | ||
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(3) An RA requesting services under subdivision (b) | ||
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(4) The Agency may invoice or otherwise request or | ||
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(A) The Agency has incurred costs in performing | ||
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(B) The RA has agreed in writing to the payment | ||
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(C) The RA has been ordered to pay such costs by | ||
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(D) The RA has requested or has consented to | ||
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(5) The Agency may, subject to available resources, | ||
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(c) Review and evaluation by a RELPEG. An RA may elect to contract with a Licensed Professional Engineer or, in the case of a site investigation report only, a Licensed Professional Geologist, who will perform review and evaluation services on behalf of and under the direction of the Agency relative to the site activities. (1) Prior to entering into the contract with the | ||
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(2) At a minimum, the contract with the RELPEG shall | ||
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(3) Reasonable costs incurred by the Agency shall be | ||
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(4) In no event shall the RELPEG acting on behalf of | ||
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(d) Review and approval. All reviews required under this Title shall be carried out by the Agency or a RELPEG contracted by the RA pursuant to subsection (c). (1) All review activities conducted by the Agency or | ||
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(2) Subject to the limitations in subsection (c) and | ||
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(A) Site Investigation Reports and related | ||
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(B) Remediation Objectives Reports; (C) Remedial Action Plans and related activities; | ||
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(D) Remedial Action Completion Reports and | ||
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(3) Only the Agency shall have the authority to | ||
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(A) An explanation of the Sections of this Title | ||
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(B) An explanation of the provisions of the rules | ||
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(C) An explanation of the specific type of | ||
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(D) A statement of specific reasons why the Title | ||
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(E) An explanation of the reasons for conditions | ||
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(4) Upon approving, disapproving, or approving with | ||
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(5) All reviews undertaken by the Agency or a RELPEG | ||
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(e) Standard of review. In making determinations, the following factors, and additional factors as may be adopted by the Board in accordance with Section 58.11, shall be considered by the Agency when reviewing or approving plans, reports, and related activities, or the RELPEG, when reviewing plans, reports, and related activities: (1) Site Investigation Reports and related | ||
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(A) The adequacy of the description of the site | ||
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(B) The adequacy of the investigation of | ||
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(C) The appropriateness of the sampling and | ||
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(2) Remediation Objectives Reports: Whether the | ||
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(A) If the objectives were based on the | ||
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(B) If the objectives were calculated on the | ||
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(C) If the objectives were determined using a | ||
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(3) Remedial Action Plans and related activities: | ||
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(A) The likelihood that the plan will result in | ||
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(B) Whether the activities proposed are | ||
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(C) The management of risk relative to any | ||
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(4) Remedial Action Completion Reports and related | ||
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(f) All plans and reports submitted for review shall include a Licensed Professional Engineer's certification that all investigations and remedial activities were carried out under his or her direction and, to the best of his or her knowledge and belief, the work described in the plan or report has been completed in accordance with generally accepted engineering practices, and the information presented is accurate and complete. In the case of a site investigation report prepared or supervised by a Licensed Professional Geologist, the required certification may be made by the Licensed Professional Geologist (rather than a Licensed Professional Engineer) and based upon generally accepted principles of professional geology. (g) In accordance with Section 58.11, the Agency shall propose and the Board shall adopt rules to carry out the purposes of this Section. At a minimum, the rules shall detail the types of services the Agency may provide in response to requests under subdivision (b)(1) of this Section and the recordkeeping it will utilize in documenting to the RA the costs incurred by the Agency in providing such services. (h) Public participation. (1) The Agency shall develop guidance to assist RAs | ||
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(2) The RA may elect to enter into a services | ||
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(3) The Agency shall maintain a registry listing | ||
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(4) Notwithstanding any provisions of this Section, | ||
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(i) Notwithstanding any other provision of this Title, the Agency is not required to take action on any submission under this Title from or on behalf of an RA if the RA has failed to pay all fees due pursuant to an invoice or other request or demand for payment under this Title. Any deadline for Agency action on such a submission shall be tolled until the fees due are paid in full. (Source: P.A. 103-172, eff. 1-1-24; 103-605, eff. 7-1-24.) |
(415 ILCS 5/58.8)
Sec. 58.8. Duty to record; compliance.
(a) The RA receiving a No Further Remediation Letter from the Agency
pursuant to Section 58.10, shall submit the letter to the Office of the
Recorder or the Registrar of Titles of the county in which the site is located
within 45 days of receipt of the letter. The Office of the Recorder or
the Registrar of Titles shall accept and record that letter in accordance with
Illinois law so that it forms a permanent part of the chain of title for the
site.
(b) A No Further Remediation Letter shall not become effective until
officially recorded in accordance with subsection (a) of this Section.
The RA shall obtain and submit to the Agency a certified copy of the
No Further Remediation Letter as recorded.
(c)
(Blank).
(d) In the event that a No Further Remediation Letter issues by operation of
law pursuant to Section 58.10, the RA may, for purposes of this Section, file
an affidavit stating that the letter issued by operation of law. Upon receipt
of the No Further Remediation Letter from the Agency, the RA shall comply with
the requirements of subsections (a) and (b) of this Section.
(Source: P.A. 94-272, eff. 7-19-05; 94-314, eff. 7-25-05.)
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(415 ILCS 5/58.9)
Sec. 58.9.
Liability.
(a) Cost assignment.
(1) Notwithstanding any other provisions of this Act | ||
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(2) Notwithstanding any provisions in this Act to the | ||
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(A) A person who neither caused nor contributed | ||
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(B) Notwithstanding a landlord's rights against a | ||
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(C) The State of Illinois or any unit of local | ||
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(D) The State of Illinois or any unit of local | ||
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(E) A financial institution, as that term is | ||
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(F) A corporate fiduciary that has acquired | ||
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(b) In the event that the State of Illinois seeks to require a person
who may be liable pursuant to this Act to conduct remedial activities for a
release or threatened release of a regulated substance, the Agency shall
provide notice to such person. Such notice shall include the necessity to
conduct remedial action pursuant to this Title and an opportunity for the
person to perform the remedial action.
(c) In any instance in which the Agency has issued notice pursuant to
subsection (b) of this Section, the Agency and the person to whom such notice
was issued may attempt to determine the costs of conducting the remedial action
that are attributable to the releases to which such person or any other person
caused or contributed. Determinations pursuant to this Section may be made in
accordance with rules promulgated by the Board.
(d) The Board shall adopt, not later than January 1, 1999, pursuant to Sections
27 and 28 of this Act, rules and
procedures for determining proportionate share. Such rules shall, at a
minimum, provide for criteria for the determination of apportioned
responsibility based upon the degree to which a person directly caused or
contributed to a release of regulated substances on, in, or under the site
identified and addressed in the remedial action; procedures to establish how
and when such persons may file a petition for determination of such
apportionment; and any other standards or procedures which the Board may adopt
pursuant to this Section. In developing such rules, the Board shall take into
consideration any recommendations and proposals of the Agency and the Site
Remediation Advisory Committee established in Section 58.11 of this Act and
other interested participants.
(e) Nothing in this Section shall limit the authority of the Agency to
provide notice under subsection (q) of Section 4 or to undertake investigative,
preventive, or corrective action under any other applicable provisions of this
Act. The Director of the Agency is authorized to enter into such
contracts and agreements as may be necessary to carry out the Agency's duties
and responsibilities under this Section as expeditiously as possible.
(f) This Section does not apply to any cost recovery action brought by the
State under Section 22.2 to recover costs incurred by the State prior to July
1, 1996.
(Source: P.A. 89-443, eff. 7-1-96; 90-484, eff. 8-17-97.)
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(415 ILCS 5/58.10)
Sec. 58.10.
Effect of completed remediation; liability releases.
(a) The Agency's issuance of the No Further Remediation Letter
signifies a release from further responsibilities under this Act in performing
the approved remedial action and shall be considered prima facie evidence that
the site does not constitute a threat to human health and the environment and
does not require further remediation under this Act, so long as the site is
utilized in accordance with the terms of the No Further Remediation Letter.
(b) Within 30 days of the Agency's approval of a Remedial
Action Completion Report, the Agency shall issue a No Further Remediation
Letter applicable to the site. In the event that the Agency fails to issue the
No Further Remediation Letter within 30 days after approval of the Remedial
Action Completion Report, the No Further Remediation Letter shall issue by
operation of law. A No Further Remediation Letter issued pursuant
to this Section shall be limited to and shall include all of the following:
(1) An acknowledgment that the requirements of the | ||
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(2) A description of the location of the affected | ||
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(3) The level of the remediation objectives, | ||
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(4) A statement that the Agency's issuance of the No | ||
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(5) The prohibition against the use of any site in a | ||
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(6) A description of any preventive, engineering, and | ||
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(7) The recording obligations pursuant to Section | ||
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(8) The opportunity to request a change in the | ||
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(9) Notification that further information regarding | ||
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(10) If only a portion of the site or only selected | ||
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(c) The Agency may deny a No Further Remediation Letter if fees applicable
under the review and evaluation services agreement have not been paid in full.
(d) The No Further Remediation Letter shall apply in favor of the
following persons:
(1) The RA or other person to whom the letter was | ||
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(2) The owner and operator of the site.
(3) Any parent corporation or subsidiary of the owner | ||
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(4) Any co-owner, either by joint-tenancy, right of | ||
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(5) Any holder of a beneficial interest of a land | ||
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(6) Any mortgagee or trustee of a deed of trust of | ||
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(7) Any successor-in-interest of the owner of the | ||
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(8) Any transferee of the owner of the site whether | ||
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(9) Any heir or devisee of the owner of the site.
(10) Any financial institution, as that term is | ||
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(11) In the case of a fiduciary (other than a land | ||
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(e) The No Further Remediation Letter shall be voidable if the site
activities are not managed in full compliance with the provisions of this
Title, any rules adopted under it, or the approved Remedial Action Plan or
remediation objectives upon which the issuance of the No Further Remediation
Letter was based. Specific acts or omissions that may result in voidance of
the No Further Remediation Letter include, but shall not be limited to:
(1) Any violation of institutional controls or land | ||
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(2) The failure of the owner, operator, RA, or any | ||
| ||
(3) The disturbance or removal of contamination that | ||
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(4) The failure to comply with the recording | ||
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(5) Obtaining the No Further Remediation Letter by | ||
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(6) Subsequent discovery of contaminants, not | ||
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(7) The failure to pay the No Further Remediation | ||
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(f) If the Agency seeks to void a No Further Remediation Letter, it
shall provide notice by certified letter to the current title holder of the
site and to the RA at his or her last known address. The notice shall specify
the cause for the voidance and describe facts in support of that cause.
(1) Within 35 days of the receipt of the notice of | ||
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(2) If the Agency's action is not appealed, the | ||
| ||
(3) If the Agency's action is appealed, the action | ||
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(4) Upon receiving notice of appeal, the Agency shall | ||
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(g) Within 30 days after the receipt of a No Further Remediation Letter
issued by the Agency or by operation of law pursuant to this Section, the
recipient of the letter shall forward to the Agency a No Further Remediation
Assessment in the amount of the lesser of $2,500 or an amount equal to the
costs incurred for the site by the Agency under Section 58.7. The assessment
shall be made payable to the State of Illinois, for deposit in the Hazardous
Waste Fund. The No Further Remediation Assessment is in addition to any other
costs that may be incurred by the Agency pursuant to Section 58.7.
(Source: P.A. 89-431, eff. 12-15-95; 89-443, eff. 7-1-96; 89-626, eff.
8-9-96.)
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(415 ILCS 5/58.11)
Sec. 58.11.
Regulations and Site Remediation Advisory Committee.
(a) There is hereby established a 10-member Site Remediation Advisory
Committee, which shall be appointed by the Governor. The Committee shall
include one member recommended by the Illinois State Chamber of Commerce,
one member recommended by the Illinois Manufacturers' Association, one
member recommended by the Chemical Industry Council of Illinois, one member
recommended by the Consulting Engineers Council of Illinois, one member
recommended by the Illinois Bankers Association, one member recommended by
the Community Bankers Association of Illinois, one member recommended by the
National Solid Waste Management Association, and 3 other members as determined
by the Governor. Members of the Advisory Committee may organize themselves as
they deem necessary and shall serve without compensation.
(b) The Committee shall:
(1) Review, evaluate, and make recommendations | ||
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(2) Review, evaluate, and make recommendations | ||
| ||
(3) Make recommendations relating to the State's | ||
| ||
(4) Review, evaluate, and make recommendations | ||
| ||
(5) Review, evaluate, and make recommendations | ||
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(c) Within 9 months after the effective date of this amendatory
Act of 1995, the Agency, after consideration of the recommendations
of the Committee, shall propose rules prescribing procedures and
standards for its administration of this Title. Within 9 months after
receipt of the Agency's proposed rules, the Board shall adopt, pursuant
to Sections 27 and 28 of this Act, rules that are consistent with this
Title, including classifications of land use and provisions for the voidance of
No Further Remediation Letters.
(d) Until such time as the rules required under this Section take effect,
the Agency shall administer its activities under this Title in accordance with
Agency procedures and applicable provisions of this Act.
(e) By July 1, 1997 and as deemed appropriate thereafter, the Agency shall
prepare reports to the Governor and the General Assembly concerning the status
of all sites for which the Agency has expended money from the Hazardous Waste
Fund. The reports shall include specific information on the financial,
technical, and cost recovery status of each site.
(Source: P.A. 92-735, eff. 7-25-02.)
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(415 ILCS 5/58.12)
Sec. 58.12.
Severability.
The provisions of this Title XVII are severable
under Section 1.31 of the Statute on Statutes.
(Source: P.A. 89-431, eff. 12-15-95; 89-443, eff. 7-1-96.)
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(415 ILCS 5/58.13)
Sec. 58.13. Municipal Brownfields Redevelopment Grant Program.
(a) (1) The Agency shall establish and administer a | ||
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(2) Grants shall be awarded on a competitive basis | ||
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(A) problem statement and needs assessment;
(B) community-based planning and involvement;
(C) implementation planning; and
(D) long-term benefits and sustainability.
(3) The Agency may give weight to geographic location | ||
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(4) Except for grants to municipalities with | ||
| ||
(5) Grant amounts shall not exceed 70% of the project | ||
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(b) The Agency shall have the authority to enter into any contracts or
agreements that may be necessary to carry out its duties or responsibilities
under this Section. The Agency shall have the authority to adopt rules setting
forth procedures and criteria for administering the Municipal Brownfields
Redevelopment
Grant Program. The rules adopted by the Agency may include but shall not be
limited to the following:
(1) purposes for which grants are available;
(2) application periods and content of applications;
(3) procedures and criteria for Agency review of | ||
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(4) grant payment schedules;
(5) grantee responsibilities for work schedules, work | ||
| ||
(6) evaluation of grantee performance, including but | ||
| ||
(7) requirements applicable to contracting and | ||
| ||
(8) penalties for noncompliance with grant | ||
| ||
(9) indemnification of this State and the Agency by | ||
| ||
(10) manner of compliance with the Local Government | ||
| ||
(c) Moneys in the Brownfields Redevelopment Fund may be used by the Agency to take whatever preventive or corrective action, including but not limited to removal or remedial action, is necessary or appropriate in response to a release or substantial threat of a release of: (1) a hazardous substance or pesticide; or (2) petroleum from an underground storage tank. The State, the Director, and any State employee shall be indemnified for any damages or injury arising out of or resulting from any action taken pursuant to this subsection (c) and subsection (d)(2) of Section 4 of this Act. The Agency has the authority to enter into such contracts and agreements as may be necessary, and as expeditiously as necessary, to carry out preventive or corrective action pursuant to this subsection (c) and subsection (d)(2) of Section 4 of this Act. (Source: P.A. 96-45, eff. 7-15-09.)
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(415 ILCS 5/58.14)
Sec. 58.14. Environmental Remediation Tax Credit review.
(a) Prior to applying for the Environmental Remediation Tax Credit under
Section 201 of the Illinois Income Tax Act, Remediation Applicants shall first
submit to the Agency an application for review of remediation costs. The
application and review process shall be conducted in
accordance with the requirements of this Section and the rules
adopted under
subsection (g). A preliminary review of the estimated remediation costs for
development and implementation of the Remedial Action Plan may be obtained in
accordance with subsection (d).
(b) No
application for review shall be submitted until a No Further Remediation Letter
has been issued by the Agency and recorded in the chain of title for the site
in accordance with Section 58.10. The Agency shall review the application to
determine whether the costs submitted are remediation costs, and whether the
costs incurred are reasonable. The application shall be on forms prescribed
and provided by the Agency. At a minimum, the application shall include the
following:
(1) information identifying the Remediation Applicant | ||
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(2) a copy of the No Further Remediation Letter with | ||
| ||
(3) a demonstration that the release of the regulated | ||
| ||
(4) an itemization and documentation, including | ||
| ||
(5) a demonstration that the costs incurred are | ||
| ||
(6) a demonstration that the costs submitted for | ||
| ||
(7) an application fee in the amount set forth in | ||
| ||
(8) any other information deemed appropriate by the | ||
| ||
(c) Within 60 days after receipt by the Agency of an application meeting
the requirements of subsection (b), the Agency shall issue a letter to the
applicant approving, disapproving, or modifying the remediation costs submitted
in the
application. If the remediation costs are approved as submitted, the Agency's
letter shall state the amount of the remediation costs to be applied toward the
Environmental Remediation Tax Credit. If an application is disapproved or
approved with modification of remediation costs, the Agency's letter shall set
forth the reasons for the disapproval or modification and state the amount of
the remediation costs, if any, to be applied toward the Environmental
Remediation Tax Credit.
If a preliminary review of a budget plan has been obtained under
subsection (d), the Remediation Applicant may submit, with the
application and supporting documentation under subsection (b), a copy of the
Agency's final determination accompanied by a certification that the actual
remediation costs incurred for the development and implementation of the
Remedial Action Plan are equal to or less than the costs approved in the
Agency's final determination on the budget plan. The certification shall be
signed by the Remediation Applicant and notarized. Based on that submission,
the Agency shall not be required to conduct further review of the costs
incurred for development and implementation of the Remedial Action Plan and may
approve costs as submitted.
Within 35 days after receipt of an Agency letter disapproving or
modifying an application for approval of remediation costs, the Remediation
Applicant may appeal the Agency's decision to the Board in the manner provided
for the review of permits in Section 40 of this Act.
(d) (1) A Remediation Applicant may obtain a preliminary | ||
| ||
(2) If the Remedial Action Plan is amended by the | ||
| ||
(3) The budget plan shall be accompanied by the | ||
| ||
(4) Submittal of a budget plan shall be deemed an | ||
| ||
(5) Within the applicable period of review, the | ||
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(6) Within 35 days after receipt of an Agency letter | ||
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(e) The fees for reviews conducted under this Section are in addition to any
other fees or payments for Agency services rendered pursuant to the Site
Remediation Program
and shall be as follows:
(1) The fee for an application for review of | ||
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(2) The fee for the review of the budget plan | ||
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(3) In the case of a Remediation Applicant submitting | ||
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The application fee shall be made payable to the State of Illinois, for
deposit into the Hazardous Waste Fund.
Pursuant to appropriation, the Agency shall use the fees collected under this
subsection for development and
administration of the review program.
(f) The Agency shall have the authority to enter into any contracts or
agreements that may be necessary to carry out its duties and responsibilities
under this Section.
(g) Within 6 months after July 21, 1997, the Agency shall propose rules prescribing procedures
and standards for its administration of this Section. Within 6 months after
receipt of the Agency's proposed rules, the Board shall adopt on second notice,
pursuant to Sections 27 and 28 of this Act and the Illinois Administrative
Procedure Act, rules that are consistent with this Section. Prior to the
effective date of rules adopted under this Section, the Agency may conduct
reviews of applications under this Section and the Agency is further authorized
to distribute guidance documents on costs that are eligible or ineligible as
remediation costs.
(Source: P.A. 94-793, eff. 5-19-06; 94-1021, eff. 7-12-06; 95-454, eff. 8-27-07.)
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(415 ILCS 5/58.14a) Sec. 58.14a. River Edge Redevelopment Zone Site Remediation Tax Credit Review. (a) Prior to applying for the River Edge Redevelopment Zone site remediation tax credit under subsection (n) of Section 201 of the Illinois Income Tax Act, a Remediation Applicant must first submit to the Agency an application for review of remediation costs. The Agency shall review the application. The application and review process must be conducted in accordance with the requirements of this Section and the rules adopted under subsection (g). A preliminary review of the estimated remediation costs for development and implementation of the Remedial Action Plan may be obtained in accordance with subsection (d). (b) No application for review may be submitted until a No Further Remediation Letter has been issued by the Agency and recorded in the chain of title for the site in accordance with Section 58.10. The Agency shall review the application to determine whether the costs submitted are remediation costs and whether the costs incurred are reasonable. The application must be on forms prescribed and provided by the Agency. At a minimum, the application must include the following: (1) information identifying the Remediation | ||
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(2) a copy of the No Further Remediation Letter with | ||
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(3) a demonstration that the release of the regulated | ||
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(4) an itemization and documentation, including | ||
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(5) a demonstration that the costs incurred are | ||
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(6) a demonstration that the costs submitted for | ||
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(7) an application fee in the amount set forth in | ||
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(8) any other information deemed appropriate by the | ||
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(c) Within 60 days after receipt by the Agency of an application meeting the requirements of subsection (b), the Agency shall issue a letter to the applicant approving, disapproving, or modifying the remediation costs submitted in the application. If the remediation costs are approved as submitted, then the Agency's letter must state the amount of the remediation costs to be applied toward the River Edge Redevelopment Zone site remediation tax credit. If an application is disapproved or approved with modification of remediation costs, then the Agency's letter must set forth the reasons for the disapproval or modification and must state the amount of the remediation costs, if any, to be applied toward the River Edge Redevelopment Zone site remediation tax credit. If a preliminary review of a budget plan has been obtained under subsection (d), then the Remediation Applicant may submit, with the application and supporting documentation under subsection (b), a copy of the Agency's final determination accompanied by a certification that the actual remediation costs incurred for the development and implementation of the Remedial Action Plan are equal to or less than the costs approved in the Agency's final determination on the budget plan. The certification must be signed by the Remediation Applicant and notarized. Based on that submission, the Agency is not required to conduct further review of the costs incurred for development and implementation of the Remedial Action Plan, and it may approve the costs as submitted.
Within 35 days after the receipt of an Agency letter disapproving or modifying an application for approval of remediation costs, the Remediation Applicant may appeal the Agency's decision to the Board in the manner provided for the review of permits under Section 40 of this Act. (d) A Remediation Applicant may obtain a preliminary review of estimated remediation costs for the development and implementation of the Remedial Action Plan by submitting a budget plan along with the Remedial Action Plan. The budget plan must be set forth on forms prescribed and provided by the Agency and must include, without limitation, line-item estimates of the costs associated with each line item (such as personnel, equipment, and materials) that the Remediation Applicant anticipates will be incurred for the development and implementation of the Remedial Action Plan. The Agency shall review the budget plan along with the Remedial Action Plan to determine whether the estimated costs submitted are remediation costs and whether the costs estimated for the activities are reasonable. If the Remedial Action Plan is amended by the Remediation Applicant or as a result of Agency action, then the corresponding budget plan must be revised accordingly and resubmitted for Agency review. The budget plan must be accompanied by the applicable fee as set forth in subsection (e). The submittal of a budget plan is deemed to be an automatic 60-day waiver of the Remedial Action Plan review deadlines set forth in this Section and its rules. Within the applicable period of review, the Agency shall issue a letter to the Remediation Applicant approving, disapproving, or modifying the estimated remediation costs submitted in the budget plan. If a budget plan is disapproved or approved with modification of estimated remediation costs, then the Agency's letter must set forth the reasons for the disapproval or modification. Within 35 days after receipt of an Agency letter disapproving or modifying a budget plan, the Remediation Applicant may appeal the Agency's decision to the Board in the manner provided for the review of permits under Section 40 of this Act. (e) Any fee for a review conducted under this Section is in addition to any other fees or payments for Agency services rendered under the Site Remediation Program. The fees under this Section are as follows: (1) the fee for an application for review of | ||
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(2) there is no fee for the review of the budget plan | ||
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The application fee must be made payable to the State of Illinois, for deposit into the Hazardous Waste Fund.
Pursuant to appropriation, the Agency shall use the fees collected under this subsection for development and administration of the review program. (f) The Agency has the authority to enter into any contracts or agreements that may be necessary to carry out its duties and responsibilities under this Section. (g) The Agency shall adopt rules prescribing procedures and standards for its administration of this Section. Prior to the
effective date of rules adopted under this Section, the Agency may conduct reviews of applications under this Section. The Agency may publish informal guidelines concerning this Section to provide guidance.
(Source: P.A. 102-444, eff. 8-20-21.) |
(415 ILCS 5/58.15) Sec. 58.15. Brownfields Programs. (A) Brownfields Redevelopment Loan Program. (a) The Agency shall establish and administer a revolving loan program to be known as the "Brownfields Redevelopment Loan Program" for the purpose of providing loans to be used for site investigation, site remediation, or both, at brownfields sites. All principal, interest, and penalty payments from loans made under this subsection (A) shall be deposited into the Brownfields Redevelopment Fund and reused in accordance with this Section. (b) General requirements for loans: (1) Loans shall be at or below market interest rates | ||
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(2) Loans shall be awarded subject to availability of | ||
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(3) The maximum loan amount under this subsection (A) | ||
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(4) In addition to any requirements or conditions | ||
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(A) the loan recipient shall secure the loan | ||
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(B) completion of the loan repayment shall not | ||
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(C) loan agreements shall provide for a | ||
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(5) Loans shall not be used to cover expenses | ||
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(6) If the loan recipient fails to make timely | ||
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(c) The Agency shall have the authority to enter into any contracts or agreements that may be necessary to carry out its duties or responsibilities under this subsection (A). The Agency shall have the authority to promulgate regulations setting forth procedures and criteria for administering the Brownfields Redevelopment Loan Program. The regulations promulgated by the Agency for loans under this subsection (A) shall include, but need not be limited to, the following elements: (1) loan application requirements; (2) determination of credit worthiness of the loan | ||
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(3) types of security required for the loan; (4) types of collateral, as necessary, that can be | ||
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(5) special loan terms, as necessary, for securing | ||
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(6) maximum loan amounts; (7) purposes for which loans are available; (8) application periods and content of applications; (9) procedures for Agency review of loan | ||
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(10) procedures for establishing interest rates; (11) requirements applicable to disbursement of loans | ||
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(12) requirements for securing loan repayment | ||
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(13) conditions or circumstances constituting default; (14) procedures for repayment of loans and delinquent | ||
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(15) loan recipient responsibilities for work | ||
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(16) evaluation of loan recipient performance, | ||
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(17) requirements applicable to contracting and | ||
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(18) penalties for noncompliance with loan | ||
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(19) indemnification of the State of Illinois and the | ||
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(d) Moneys in the Brownfields Redevelopment Fund may be used as a source of revenue or security for the principal and interest on revenue or general obligation bonds issued by the State or any political subdivision or instrumentality thereof, if the proceeds of those bonds will be deposited into the Fund. (B) Brownfields Site Restoration Program. (a)(1) The Agency must establish and administer a program for the payment of remediation costs to be known as the Brownfields Site Restoration Program. The Agency, through the Program, shall provide Remediation Applicants with financial assistance for the investigation and remediation of abandoned or underutilized properties. The investigation and remediation shall be performed in accordance with this Title XVII of this Act. (2) For each State fiscal year in which funds are made available to the Agency for payment under this subsection (B), the Agency must, subject to the availability of funds, allocate 20% of the funds to be available to Remediation Applicants within counties with populations over 2,000,000. The remaining funds must be made available to all other Remediation Applicants in the State. (3) The Agency must not approve payment in excess of $750,000 to a Remediation Applicant for remediation costs incurred at a remediation site. Eligibility must be determined based on a minimum capital investment in the redevelopment of the site, and payment amounts must not exceed the net economic benefit to the State of the remediation project. In addition to these limitations, the total payment to be made to an applicant must not exceed an amount equal to 20% of the capital investment at the site. (4) Only those remediation projects for which a No Further Remediation Letter is issued by the Agency after December 31, 2001 are eligible to participate in the Brownfields Site Restoration Program. The program does not apply to any sites that have received a No Further Remediation Letter prior to December 31, 2001 or for costs incurred prior to the Agency approving a site eligible for the Brownfields Site Restoration Program. (5) Brownfields Site Restoration Program funds shall be subject to availability of funding and distributed based on the order of receipt of applications satisfying all requirements as set forth in this Section. (b) Prior to applying to the Agency for payment, a Remediation Applicant shall first submit to the Agency its proposed remediation costs. The Agency shall make a pre-application assessment, which is not to be binding upon future review of the project, relating only to whether the Agency has adequate funding to reimburse the applicant for the remediation costs if the applicant is found to be eligible for reimbursement of remediation costs. If the Agency determines that it is likely to have adequate funding to reimburse the applicant for remediation costs, the Remediation Applicant may then submit to the Agency an application for review of eligibility. The Agency must review the eligibility application to determine whether the Remediation Applicant is eligible for the payment. The application must be on forms prescribed and provided by the Agency. At a minimum, the application must include the following: (1) Information identifying the Remediation Applicant | ||
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(2) Information demonstrating that the site for which | ||
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(3) Information demonstrating that remediation of the | ||
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(4) An application fee in the amount set forth in | ||
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(c) The fee for eligibility reviews conducted by the Agency under this subsection (B) is $1,000 for each site reviewed. The application fee must be made payable to the Agency for deposit into the Brownfields Redevelopment Fund. These application fees shall be used by the Agency for administrative expenses incurred under this subsection (B). (d) Within 60 days after receipt by the Agency of an application meeting the requirements of subdivision (B)(b), the Agency must issue a letter to the applicant approving the application, approving the application with modifications, or disapproving the application. If the application is approved or approved with modifications, the Agency's letter must also include its determination of the "net economic benefit" of the remediation project and the maximum amount of the payment to be made available to the applicant for remediation costs. The payment by the Agency under this subsection (B) must not exceed the "net economic benefit" of the remediation project. (e) An application for a review of remediation costs must not be submitted to the Agency unless the Agency has determined the Remediation Applicant is eligible under subdivision (B)(d). If the Agency has determined that a Remediation Applicant is eligible under subdivision (B)(d), the Remediation Applicant may submit an application for payment to the Agency under this subsection (B). Except as provided in subdivision (B)(f), an application for review of remediation costs must not be submitted until a No Further Remediation Letter has been issued by the Agency and recorded in the chain of title for the site in accordance with Section 58.10. The Agency must review the application to determine whether the costs submitted are remediation costs and whether the costs incurred are reasonable. The application must be on forms prescribed and provided by the Agency. At a minimum, the application must include the following: (1) Information identifying the Remediation Applicant | ||
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(2) A copy of the No Further Remediation Letter with | ||
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(3) A demonstration that the release of the regulated | ||
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(4) A copy of the Agency's letter approving | ||
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(5) An itemization and documentation, including | ||
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(6) A demonstration that the costs incurred are | ||
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(7) A demonstration that the costs submitted for | ||
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(8) An application fee in the amount set forth in | ||
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(9) Any other information deemed appropriate by the | ||
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(f) An application for review of remediation costs may be submitted to the Agency prior to the issuance of a No Further Remediation Letter if the Remediation Applicant has a Remedial Action Plan approved by the Agency under the terms of which the Remediation Applicant will remediate groundwater for more than one year. The Agency must review the application to determine whether the costs submitted are remediation costs and whether the costs incurred are reasonable. The application must be on forms prescribed and provided by the Agency. At a minimum, the application must include the following: (1) Information identifying the Remediation Applicant | ||
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(2) A copy of the Agency letter approving the | ||
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(3) A demonstration that the release of the regulated | ||
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(4) A copy of the Agency's letter approving | ||
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(5) An itemization and documentation, including | ||
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(6) A demonstration that the costs incurred are | ||
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(7) A demonstration that the costs submitted for | ||
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(8) An application fee in the amount set forth in | ||
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(9) Any other information deemed appropriate by the | ||
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(g) For a Remediation Applicant seeking a payment under subdivision (B)(f), until the Agency issues a No Further Remediation Letter for the site, no more than 75% of the allowed payment may be claimed by the Remediation Applicant. The remaining 25% may be claimed following the issuance by the Agency of a No Further Remediation Letter for the site. For a Remediation Applicant seeking a payment under subdivision (B)(e), until the Agency issues a No Further Remediation Letter for the site, no payment may be claimed by the Remediation Applicant. (h)(1) Within 60 days after receipt by the Agency of an application meeting the requirements of subdivision (B)(e) or (B)(f), the Agency must issue a letter to the applicant approving, disapproving, or modifying the remediation costs submitted in the application. If an application is disapproved or approved with modification of remediation costs, then the Agency's letter must set forth the reasons for the disapproval or modification. (2) If a preliminary review of a budget plan has been obtained under subdivision (B)(i), the Remediation Applicant may submit, with the application and supporting documentation under subdivision (B)(e) or (B)(f), a copy of the Agency's final determination accompanied by a certification that the actual remediation costs incurred for the development and implementation of the Remedial Action Plan are equal to or less than the costs approved in the Agency's final determination on the budget plan. The certification must be signed by the Remediation Applicant and notarized. Based on that submission, the Agency is not required to conduct further review of the costs incurred for development and implementation of the Remedial Action Plan and may approve costs as submitted. (3) Within 35 days after receipt of an Agency letter disapproving or modifying an application for approval of remediation costs, the Remediation Applicant may appeal the Agency's decision to the Board in the manner provided for the review of permits in Section 40 of this Act. (i)(1) A Remediation Applicant may obtain a preliminary review of estimated remediation costs for the development and implementation of the Remedial Action Plan by submitting a budget plan along with the Remedial Action Plan. The budget plan must be set forth on forms prescribed and provided by the Agency and must include, but is not limited to, line item estimates of the costs associated with each line item (such as personnel, equipment, and materials) that the Remediation Applicant anticipates will be incurred for the development and implementation of the Remedial Action Plan. The Agency must review the budget plan along with the Remedial Action Plan to determine whether the estimated costs submitted are remediation costs and whether the costs estimated for the activities are reasonable. (2) If the Remedial Action Plan is amended by the Remediation Applicant or as a result of Agency action, the corresponding budget plan must be revised accordingly and resubmitted for Agency review. (3) The budget plan must be accompanied by the applicable fee as set forth in subdivision (B)(j). (4) Submittal of a budget plan must be deemed an automatic 60-day waiver of the Remedial Action Plan review deadlines set forth in this subsection (B) and rules adopted under this subsection (B). (5) Within the applicable period of review, the Agency must issue a letter to the Remediation Applicant approving, disapproving, or modifying the estimated remediation costs submitted in the budget plan. If a budget plan is disapproved or approved with modification of estimated remediation costs, the Agency's letter must set forth the reasons for the disapproval or modification. (6) Within 35 days after receipt of an Agency letter disapproving or modifying a budget plan, the Remediation Applicant may appeal the Agency's decision to the Board in the manner provided for the review of permits in Section 40 of this Act. (j) The fees for reviews conducted by the Agency under this subsection (B) are in addition to any other fees or payments for Agency services rendered pursuant to the Site Remediation Program and are as follows: (1) The fee for an application for review of | ||
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(2) The fee for the review of the budget plan | ||
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The application fee and the fee for the review of the budget plan must be made payable to the State of Illinois, for deposit into the Brownfields Redevelopment Fund. (k) Moneys in the Brownfields Redevelopment Fund may be used for the purposes of this Section, including payment for the costs of administering this subsection (B). Total payments made to all Remediation Applicants by the Agency for purposes of this subsection (B) must not exceed $1,000,000 in State fiscal year 2002. (l) The Agency is authorized to enter into any contracts or agreements that may be necessary to carry out the Agency's duties and responsibilities under this subsection (B). (m) Within 6 months after July 23, 2002 (the effective date of Public Act 92-715), the Department of Commerce and Community Affairs (now Department of Commerce and Economic Opportunity) and the Agency must propose rules prescribing procedures and standards for the administration of this subsection (B). Within 9 months after receipt of the proposed rules, the Board shall adopt on second notice, pursuant to Sections 27 and 28 of this Act and the Illinois Administrative Procedure Act, rules that are consistent with this subsection (B). Prior to the effective date of rules adopted under this subsection (B), the Department of Commerce and Community Affairs (now Department of Commerce and Economic Opportunity) and the Agency may conduct reviews of applications under this subsection (B) and the Agency is further authorized to distribute guidance documents on costs that are eligible or ineligible as remediation costs. (Source: P.A. 102-444, eff. 8-20-21; 103-616, eff. 7-1-24.) |
(415 ILCS 5/58.16)
Sec. 58.16. Construction of school; requirements. This Section applies
only to counties with a population of more than 3,000,000. In this Section,
"school" means any public school located in whole or in part in a county with
a population of more than 3,000,000. No person shall commence construction on
real property of a building intended for use as a school unless:
(1) a Phase I Environmental Audit, conducted in | ||
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(2) if the Phase I Environmental Audit discloses the | ||
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(3) if the Phase II Environmental Audit discloses the | ||
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No person shall cause or allow any person to occupy a building intended
to be used as a school for which a remedial action plan is required by Board
regulations unless all work pursuant to the remedial action plan is completed.
(Source: P.A. 98-756, eff. 7-16-14.)
|
(415 ILCS 5/58.17)
Sec. 58.17.
Environmental Land Use Control.
No later than 2 months after
July 7, 2000, the
Agency, after consideration of the recommendations of the Regulations and Site
Remediation Advisory Committee, shall propose rules creating an instrument to
be known as the Environmental Land Use Control (ELUC). Within 6 months after
receipt of the Agency's proposed rules, the Board shall adopt, pursuant to
Sections 27 and 28 of this Act, rules creating the ELUC that establish land
use limitations or obligations on the use of real property when necessary to
manage risk to human health or the environment arising from contamination left
in place pursuant to the procedures set forth in Section 58.5 of this Act or
35 Ill. Adm. Code 742. The rules shall include provisions addressing
establishment, content, recording, duration, and enforcement of ELUCs.
(Source: P.A. 91-909, eff. 7-7-00; 92-574, eff. 6-26-02.)
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(415 ILCS 5/58.18)
Sec. 58.18.
(Repealed).
(Source: P.A. 92-486, eff. 1-1-02. Repealed by P.A. 92-715, eff. 7-23-02.)
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(415 ILCS 5/Tit. XVIII heading) TITLE XVIII: CARBON CAPTURE AND SEQUESTRATION
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59) Sec. 59. Definitions. As used in this Title: "Carbon dioxide capture project" mean a project or facility that: (1) uses equipment to capture a significant quantity | ||
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(2) produces a concentrated fluid of carbon dioxide. "Carbon dioxide stream" means carbon dioxide, any incidental associated substances derived from the source materials and process of producing or capturing carbon dioxide, and any substance added to the stream to enable or improve the injection process or the detection of a leak or rupture. "Carbon sequestration activity" means the injection of one or more carbon dioxide streams into underground geologic formations under at least one Class VI well permit for long-term sequestration. "Criteria pollutants" means the 6 pollutants for which the United States Environmental Protection Agency has set National Ambient Air Quality Standards under Section 109 of the Clean Air Act, together with recognized precursors to those pollutants. "Project labor agreement" means a prehire collective bargaining agreement that covers all terms and conditions of employment on a specific construction project and must include the following: (1) provisions establishing the minimum hourly wage | ||
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(2) provisions establishing the benefits and other | ||
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(3) provisions establishing that no strike or | ||
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(4) provisions establishing that no lockout or | ||
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(5) provisions for minorities and women, as defined | ||
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"Project labor agreement" includes other terms and conditions a labor organization or general contractor building the project deems necessary. "Sequestration facility" means the carbon dioxide sequestration reservoir, underground equipment, including, but not limited to, well penetrations, and surface facilities and equipment used or proposed to be used in a carbon sequestration activity. "Sequestration facility" includes each injection well and equipment used to connect surface activities to the carbon dioxide sequestration reservoir and underground equipment. "Sequestration facility" does not include pipelines used to transport carbon dioxide to a sequestration facility.
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.1) Sec. 59.1. Carbon capture permit requirements. For air construction permit applications for carbon dioxide capture projects at existing sources submitted on or after the effective date of this amendatory Act of the 103rd General Assembly, no permit may be issued unless all of the following requirements are met: (1) The permit applicant demonstrates that there will | ||
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(2) The Agency has complied with the public | ||
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(3) The permit applicant submits to the Agency in its | ||
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(4) The permit applicant provides a water impact | ||
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(A) each water source to be used by the project; (B) the pumping method to be used by the project; (C) the maximum and expected average daily | ||
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(D) the impacts to each water source used by the | ||
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(E) a detailed assessment of the impact on water | ||
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The water impact assessment shall consider the water | ||
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The permit applicant shall submit a certification to the Agency that the applicant has submitted its initial water use impact study and the applicant's ongoing water usage to the Department of Natural Resources. This requirement may be satisfied by submitting to the Agency copies of documents provided to the United States Environmental Protection Agency in accordance with 40 CFR 146.82 if the applicant satisfies the requirements of this Section.
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.2) Sec. 59.2. Report on minimum carbon capture standards and the deployment of carbon capture and sequestration technology. By December 1, 2028, the Agency, in consultation with Illinois Emergency Management Agency and Office of Homeland Security, the Illinois Commerce Commission, the Commission on Environmental Justice, and the Department of Natural Resources, shall submit to the Governor and General Assembly, a report that reviews the progress on the implementation of carbon dioxide capture, transport, and storage projects in this State. The Agency may also obtain outside consultants to assist with the report. The report shall include, at minimum: (1) a review of federal and other State statutory or | ||
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(2) a review of active and proposed capture projects, | ||
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(3) an assessment of the technical and economic | ||
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(4) an environmental justice analysis which includes, | ||
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(A) an assessment of capture, transport, and | ||
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(B) how public participation processes associated | ||
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(C) options for State agencies and | ||
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(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.3) Sec. 59.3. Minimum carbon dioxide capture efficiency rulemaking authority. The Agency may propose, and the Board may adopt, rules to establish a minimum carbon capture efficiency rate for carbon capture projects. The Agency may propose, and the Board may adopt, a minimum carbon capture efficiency rate that is applicable to all carbon capture projects or individual efficiencies applicable to distinct industries.
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.4) Sec. 59.4. Report on the status and impact of carbon capture and sequestration. Beginning July 1, 2029, and every 5 years thereafter, the Agency shall submit a report to the Governor and General Assembly that includes, for each carbon dioxide capture project in this State: (1) the amount of carbon dioxide captured on an | ||
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(2) the means for transporting the carbon dioxide to | ||
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(3) the location of the sequestration or utilization | ||
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(4) the electrical power consumption of the carbon | ||
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(5) the generation source or sources providing | ||
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(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.5) Sec. 59.5. Prohibitions. (a) No person shall conduct a carbon sequestration activity without a permit issued by the Agency under Section 59.6. This prohibition does not apply to any carbon sequestration activity in existence and permitted by the United States Environmental Protection Agency on or before the effective date of this amendatory Act of the 103rd General Assembly or to any Class VI well for which (1) a Class VI well permit has been filed with the United States Environmental Protection Agency and a completeness determination had been received prior to January 1, 2023, and (2) the sequestration activity will occur on a contiguous property with common ownership where the carbon dioxide is generated, captured, and injected. (b) No person shall conduct a carbon sequestration activity in violation of this Act. (c) No person shall conduct a carbon sequestration activity in violation of any applicable rules adopted by the Pollution Control Board. (d) No person shall conduct a carbon sequestration activity in violation of a permit issued by the Agency under this Act. (e) No person shall fail to submit reports required by this Act or required by a permit issued by the Agency under this Act. (f) No person shall conduct a carbon sequestration activity without obtaining an order for integration of pore space from the Department of Natural Resources, if applicable.
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.6) Sec. 59.6. Sequestration permit; application contents. An application to obtain a carbon sequestration permit under this Act shall contain, at a minimum, the following: (1) A map and accompanying description that clearly | ||
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(2) A map and accompanying description that clearly | ||
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(3) Copies of any permit and related application | ||
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(4) A report describing air and soil gas baseline | ||
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(A) contain sampling data generated within 180 | ||
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(B) identify the constituents of concern for | ||
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(C) use and describe the sampling methodology | ||
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(D) identify the accredited laboratory used to | ||
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(E) include the sampling results for the | ||
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(5) The permit application must include an air | ||
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(A) sufficient surface and near-surface | ||
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(B) a monitoring frequency designed to evaluate | ||
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(C) a description of the monitoring network | ||
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(D) confirmation monitoring protocols to address | ||
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(E) development and submission of quarterly air | ||
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This requirement may be satisfied by the submission | ||
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(6) The permit application must include a soil gas | ||
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(A) sufficient soil sampling points and sampling | ||
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(B) a monitoring frequency designed to identify | ||
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(C) a description of the monitoring network | ||
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(D) confirmation monitoring protocols to address | ||
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(E) development and submission of quarterly soil | ||
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This requirement may be satisfied by the submission | ||
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(7) The permit application must include an emergency | ||
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(A) identify the resources and infrastructure | ||
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(B) identify potential risk scenarios that would | ||
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(i) injection or monitoring well integrity | ||
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(ii) injection well monitoring equipment | ||
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(iii) fluid or carbon dioxide release; (iv) natural disaster; or (v) induced or natural seismic event; (C) describe response actions necessary to | ||
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(D) identify personnel and equipment necessary to | ||
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(E) describe emergency notification procedures, | ||
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(F) describe the process for determining the | ||
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(G) include an air and soil gas monitoring plan | ||
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(H) provide any additional information or action | ||
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This requirement may be satisfied by the submission | ||
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(8) The permit applicant must include a water impact | ||
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(A) each water source to be used by the project; (B) the pumping method to be used by the project; (C) the maximum and expected average daily | ||
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(D) the impacts to each water source, such as | ||
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(E) a detailed assessment of the impact of the | ||
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The impact assessment shall consider the water | ||
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The permit applicant shall submit a certification to | ||
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(9) The permit application must include a remedial | ||
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(A) identify all necessary remedial actions to | ||
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(B) include a demonstration of the performance, | ||
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(C) identify a reasonable timeline and describe | ||
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(10) The permit application must include a closure | ||
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(A) the pressure differential between | ||
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(B) the predicted position of the carbon dioxide | ||
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(C) a description of post-injection monitoring | ||
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(D) a proposed schedule for submitting | ||
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(E) the duration of the post-injection site care | ||
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This requirement may be satisfied by the submission | ||
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(11) The permit application must contain a written | ||
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The cost estimate must be calculated in terms of | ||
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The owner or operator must revise the cost estimate | ||
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The owner or operator must annually revise the cost | ||
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Revisions to the cost estimate must be submitted to | ||
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(12) Proof that the applicant has financial assurance | ||
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(13) Proof of insurance that complies with the | ||
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(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.7) Sec. 59.7. Sequestration permit application fee. Upon submission of a sequestration facility permit application, and in addition to any other fees required by law, the sequestration operator shall remit to the Agency an initial, one-time permit application fee of $60,000. One-third of each sequestration facility permit application fee shall be deposited into the Water Resources Fund, the Emergency Planning and Training Fund, and the Carbon Dioxide Sequestration Administrative Fund.
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.8) Sec. 59.8. Public participation. Prior to issuing a permit for carbon sequestration activity, the Agency shall issue a public notice of the permit application and draft permit. The public notice shall include a link to a website where copies of the permit application or draft permit, and all included attachments that are not protected under the Freedom of Information Act are posted, and shall provide information concerning the comment period on the permit application or draft permit and instructions for how to request a hearing on the permit application or draft permit. The Agency shall provide an opportunity for public comments on the permit application or draft permit, and shall hold a public hearing upon request. The Agency will make copies of all comments received available on its website and consider those comments when rendering its permit decision.
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.9) Sec. 59.9. Closure. The owner or operator of a carbon sequestration activity permitted in accordance with this Act shall monitor the site during the post-injection site care period, which shall be no less than 30 years after the last date of injection, as well as following certification of closure by United States Environmental Protection Act to show the position of the carbon dioxide and pressure front to ensure it does not pose an endangerment to groundwater, as specified in 35 Ill. Adm. Code 620, or to human health or the environment, unless and until the Agency certifies that a carbon sequestration facility is closed. Air and soil gas monitoring required by a carbon sequestration activity permit issued by the Agency must continue until the Agency certifies the carbon sequestration facility as closed. The Agency shall certify a carbon sequestration facility as closed if: (1) the owner or operator submits to the Agency a | ||
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(2) the owner or operator demonstrates to the Agency | ||
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This demonstration must include location-specific monitoring data. The certification of closure does not relieve an operator of any liabilities from the carbon sequestration activity or carbon sequestration facility.
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.10) Sec. 59.10. Financial assurance. (a) The owner or operator of a sequestration activity permitted in accordance with this Act shall maintain financial assurance in an amount equal to or greater than the cost estimate calculated in accordance with paragraph (11) of Section 59.6. (b) The owner or operator of the sequestration activity must use one or a combination of the following mechanisms as financial assurance: (1) a fully funded trust fund; (2) a surety bond guaranteeing payment; (3) a surety bond guaranteeing performance; or (4) an irrevocable letter of credit. (c) The financial assurance mechanism must identify the Agency as the sole beneficiary. (d) The financial assurance mechanism shall be on forms adopted by the Agency. The Agency must adopt these forms within 90 days of the date of the effective date of this amendatory Act of the 103rd General Assembly. (e) The Agency shall release a trustee, surety, or other financial institution holding a financial assurance mechanism when: (1) the owner or operator of a carbon sequestration | ||
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(2) the Agency determines that the owner or operator | ||
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(f) The Agency may enter into contracts and agreements it deems necessary to carry out the purposes of this Section, including, but not limited to, interagency agreements with the Illinois State Geological Survey, the Department of Natural Resources, or other agencies of the State. Neither the State nor any State employee shall be liable for any damages or injuries arising out of or resulting from any action taken under paragraph (11) of Section 59.6. (g) The Agency may order that a permit holder modify the financial assurance or order that proceeds from financial assurance be applied to the remedial action at or closure of an injection site. The Agency may pursue legal action in any court of competent jurisdiction to enforce its rights under financial instruments used to provide the financial assurance required under Section 59.10. (h) An owner or operator of a carbon sequestration activity permitted in accordance with this Act that has a closure plan approved by United States Environmental Protection Agency in accordance with 40 CFR 146.93 may satisfy the financial assurance requirements for any portion of the cost estimates for closure costs required by the Agency by submitting to the Agency true copies of the financial assurance mechanism required by 40 CFR 146.85, if those mechanisms are compliant with Section 59.10.
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.11) Sec. 59.11. Insurance. (a) The owner or operator of a carbon sequestration facility permitted in accordance with this Act shall maintain insurance to cover wrongful death, bodily injuries, property damages, and public or private losses related to a release from the carbon sequestration facility from an insurer holding at least an A- rating by an AM Best or equivalent credit rating agency. Such insurance shall be in an amount of at least $25,000,000. (b) The owner or operator of a carbon sequestration activity permitted in accordance with this Act must maintain insurance required by this Section throughout the period during which carbon dioxide is injected into the sequestration site, throughout the post-injection time frame, and until the Agency certifies that the carbon sequestration facility is closed. (c) The insurance policy must provide that the insurer may not cancel or terminate, except for failure to pay the premium. (d) The insurance policy must allow for assignment to a successor owner or operator. The insurer shall not unreasonably withhold consent to assignment of the insurance policy.
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.12) Sec. 59.12. Ownership of carbon dioxide; liability. (a) The owner or operator of a sequestration activity permitted in accordance with this Act may be subject to liability for any and all damage, including, but not limited to, wrongful death, bodily injuries, or tangible property damages, caused by a release attributable to the sequestration activity, including, but not limited to, damage caused by carbon dioxide or other fluids released from the sequestration facility, regardless of who holds title to the carbon dioxide, the pore space, or the surface estate. Liability for damage caused by a release attributable to the sequestration activity that is within a sequestration facility or otherwise within a sequestration operator's control, including carbon dioxide being transferred from a pipeline to the injection well, may be joint and several with a third party adjudicated to have caused or contributed to such damage. A claim of subsurface trespass shall not be actionable against an owner of operator of a sequestration facility conducting carbon sequestration activity in accordance with a valid Class VI permit and a permit issued by the Agency for a sequestration facility, unless the claimant proves that injection or migration of carbon dioxide: (1) substantially interferes with the claimant's | ||
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(2) has caused wrongful death or direct physical | ||
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The State shall not be liable for any damage caused by or attributable to the sequestration activity. (b) The owner or operator of a sequestration activity permitted in accordance with this Act is liable for any and all damage that may result from equipment associated with carbon sequestration, including, but not limited to, operation of the equipment. Liability for harms or damage resulting from equipment associated with carbon sequestration, including equipment used to transfer carbon dioxide from the pipeline to the injection well, may be joint and several with a third party adjudicated to have caused or contributed to such damage. (c) Title to carbon dioxide sequestered in this State shall be vested in the operator of the sequestration facility. Sequestered carbon dioxide is a separate property independent of the sequestration pore space.
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.13) Sec. 59.13. Carbon Sequestration Long-Term Trust Fund. The Carbon Dioxide Sequestration Long-Term Trust Fund is hereby created as a State trust fund in the State treasury. The Fund may receive deposits of moneys made available from any source. All moneys in the Fund are to be invested and reinvested by the State Treasurer. All interest accruing from these investments shall be deposited into the Fund to be used under the provisions of this Section. Moneys in the Fund may be used by the Agency to cover costs incurred to: (1) take any remedial or corrective action necessary | ||
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(2) monitor, inspect, or take other action if the | ||
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(3) compensate any person suffering any damages or | ||
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(4) any other applicable costs under the Act. Nothing in this Section relieves a sequestration operator from its obligations under this Act, from its liability under Section 59.12, or its obligations to maintain insurance and financial assurances under Sections 59.10 and 59.11.
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.14) Sec. 59.14. Water Resources Fund. The Water Resources Fund is hereby created as a special fund in the State treasury to be administered by the Department of Natural Resources. The Fund shall be used by the Department of Natural Resources for administrative costs under obligations under the Water Use Act of 1983, the Environmental Protection Act, or related statutes, including, but not limited to, reviewing water use plans and providing technical assistance to entities for water resource planning.
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.15) Sec. 59.15. Environmental Justice Grant Fund. The Environmental Justice Grant Fund is hereby created as a special fund in the State treasury to be administered by the Agency. The Fund shall be used by the Agency to make grants to eligible entities, including, but not limited to, units of local government, community-based nonprofits, and eligible organizations representing areas of environmental justice concern, to fund environmental projects benefiting areas of the State that are disproportionately burdened by environmental harms. Eligible projects include, but are not limited to, water infrastructure improvements, energy efficiency projects, and transportation decarbonization projects.
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.16) Sec. 59.16. Carbon Dioxide Sequestration Administrative Fund. The Carbon Dioxide Sequestration Administrative Fund is hereby created as a special fund within the State treasury to be administered by the Agency. Moneys in the fund may be used: (1) for Agency administrative costs incurred for the | ||
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(2) to transfer moneys to funds outlined in Sections | ||
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The Fund may receive deposits of moneys made available from any source, including, but not limited to, fees, fines, and penalties collected under this Act, investment income, and moneys deposited or transferred into the Fund.
(Source: P.A. 103-651, eff. 7-18-24.) |
(415 ILCS 5/59.17) Sec. 59.17. Sequestration annual tonnage fee. (a) Beginning July 1, 2025, and each July 1 thereafter, each sequestration operator shall report to the Agency the tons of carbon dioxide injected in the prior 12 months. (b) If the sequestration operator does not possess a project labor agreement, the sequestration operator shall be assessed a per-ton sequestration fee of $0.62. (c) If the sequestration operator does possess a project labor agreement, the sequestration operator shall be assessed a per-ton sequestration fee of $0.31. (d) The fee assessed to the sequestration operator under subsection (b) shall be reduced to $0.31 for every ton of carbon dioxide injected into a sequestration facility in that fiscal year if the sequestration operator successfully demonstrates to the Department that the following types of construction and maintenance were conducted in the State during that fiscal year by the sequestration operator and were performed by contractors and subcontractors signatory to a project labor agreement used by the building and construction trades council with relevant geographic jurisdiction: (1) construction and maintenance of equipment | ||
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(2) construction and maintenance of carbon dioxide | ||
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(3) construction and maintenance of compressor | ||
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(4) construction of carbon dioxide injection wells | ||
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(e) Sequestration fees shall be deposited into the Carbon Dioxide Sequestration Administrative Fund. (f) The per-ton fee for carbon dioxide injected shall be increased by an amount equal to the percentage increase, if any, in the Consumer Price Index for All Urban Consumers for all items published by the United States Department of Labor for the 12 months ending in March of the year in which the increase takes place. The rate shall be rounded to the nearest one-hundredth of one cent. (g) For the fiscal year beginning July 1, 2025, and each fiscal year thereafter, at the direction of the Agency, in consultation with the Illinois Emergency Management Agency and Office of Homeland Security, and the Department of Natural Resources, the State Comptroller shall direct and the State Treasurer shall transfer from the Carbon Dioxide Sequestration Administrative Fund the following percentages of the amounts collected under this Act by the Agency during the previous fiscal year: (1) 2% to the Water Resources Fund; (2) 6% to the Oil and Gas Resource Management Fund; (3) 20% to the Emergency Planning and Training Fund; (4) 28% to the Carbon Dioxide Sequestration Long-Term | ||
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(5) 10% to the General Revenue Fund; and (6) 24% to the Environmental Justice Grant Fund.
(Source: P.A. 103-651, eff. 7-18-24.) |