In addition to the water quality monitoring and response
requirements of article 6 and the environmental monitoring requirements of
article 17 of this chapter, an owner or operator subject to this article shall
establish a vadose zone monitoring program to discharge the following
responsibilities.
(a) The owner or
operator shall monitor the soil and soil-pore liquid to determine whether
constituents of concern migrate out of the treatment zone.
(1) The Department will specify the
constituents of concern to be monitored in the facility permit. The
constituents of concern to be monitored are those specified under section
66264.271(b).
(2) The Department may require monitoring for
principal constituents of concern in lieu of the constituents specified under
section
66264.271(b).
Principal constituents of concern are the constituents contained in the wastes
to be applied at the unit that are the most difficult to treat, considering the
combined effects of degradation, transformation, and immobilization. The
Department may establish principal constituents of concern if it finds, based
on waste analyses, treatment demonstrations, or other data, that effective
degradation, transformation, or immobilization of the constituent will assure
treatment at at least equivalent levels for the other constituents of concern
in the wastes.
(b) The
owner or operator shall install a vadose zone monitoring system that includes
soil monitoring using soil cores and soil-pore liquid monitoring using devices
such as lysimeters. The vadose zone monitoring system shall consist of a
sufficient number of sampling points at appropriate locations and depths to
yield samples that:
(1) represent the quality
of background soil-pore liquid quality and the chemical make-up of soil that
has not been affected by leakage from the treatment zone; and
(2) indicate the quality of soil-pore liquid
and the chemical make-up of the soil below the treatment
zone.
(c) The owner or
operator shall establish a background concentration for each constituent of
concern to be monitored under subsection (a) of this section. The permit will
specify the background concentrations for each constituent or specify the
procedures to be used to calculate the background concentrations.
(1) Background soil concentrations may be
based on a one-time sampling at a background plot having characteristics
similar to those of the treatment zone.
(2) Background soil-pore liquid
concentrations shall be based on at least quarterly sampling for one year at a
background plot having characteristics similar to those of the treatment
zone.
(3) The owner or operator
shall express all background concentrations in a form necessary for the
determination of statistically significant increases under subsection (f) of
this section.
(4) In taking samples
used in the determination of all background concentrations, the owner. or
operator shall use a vadose zone monitoring system that complies with
subsection (b)(1) of this section.
(d) The owner or operator shall conduct soil
monitoring and soil-pore liquid monitoring immediately below the treatment
zone. The Department will specify the frequency and timing of soil and
soil-pore liquid monitoring in the facility permit after considering the water
quality monitoring requirements of article 6 of this chapter, the frequency,
timing, and rate of waste application, and the soil permeability. The owner or
operator shall express the results of soil and soil-pore liquid monitoring in a
form necessary for the determination of statistically significant increases
under subsection (f) of this section.
(e) The owner or operator shall use
consistent sampling and analysis procedures that are designed to ensure
sampling results that provide a reliable indication of soil-pore liquid quality
and the chemical make-up of the soil below the treatment zone. At a minimum,
the owner or operator must implement procedures and techniques for:
(1) sample collection;
(2) sample preservation and
shipment;
(3) analytical
procedures; and
(4) chain of
custody control.
(f) The
owner or operator shall determine whether there is a statistically significant
change over background values concentrations for each constituent of concern to
be monitored under subsection (a) of this section below the treatment zone each
time the owner or operator conducts soil monitoring and soil-pore liquid
monitoring under subsection (d) of this section.
(1) In determining whether a statistically
significant increase has occurred, the owner or operator shall compare the
value concentration of each constituent, as determined under subsection (d) of
this section, to the background concentration for that constituent according to
the statistical procedure specified in the facility permit under this
subsection.
(2) The owner or
operator shall determine whether there has been a statistically significant
increase below the treatment zone within a reasonable time period after
completion of sampling. The Department will specify that time period in the
facility permit after considering the complexity of the statistical test and
the availability of laboratory facilities to perform the analysis of soil and
soil-pore liquid samples.
(3) The
owner or operator shall determine whether there is a statistically significant
increase below the treatment zone using a statistical procedure that provides
reasonable confidence that migration from the treatment zone will be
identified. The Department will specify a statistical procedure in the facility
permit that it finds:
(A) is appropriate for
the distribution of the data used to establish background concentrations;
and
(B) provides a reasonable
balance between the probability of falsely identifying migration from the
treatment zone and the probability of failing to identify real migration from
the treatment zone.
(g) Except as provided in section
66264.273(1), no
person shall place or dispose of hazardous waste in a land treatment unit if
any of the following conditions exist:
(1)
hazardous constituents have migrated from the land treatment unit into the
vadose zone beneath or surrounding the treatment zone or into the waters
beneath or surrounding the treatment zone;
(2) there is evidence that a hazardous
constituent in the waste discharged to the land treatment unit has not been or
will not be completely degraded, transformed or immobilized in the treatment
zone;
(3) there is a significant
potential for hazardous constituents to migrate from the land treatment unit
into a potential source of drinking water.
(h) The owner or operator shall periodically,
at the request of the Department, and at least annually, submit information
required by the Department to assure that the conditions set forth in
subsections (g)(1) and (g)(2) of this section are not present. The information
shall include, but is not limited to the results of soil and soil-pore liquid
monitoring conducted under subsection (d) of this section.
(i) If the owner or operator determines
pursuant to subsection (f) of this section, that there has been a statistically
significant increase in the concentration of a hazardous constituent below the
treatment zone, or that either of the conditions set forth in subsections
(g)(1) or (g)(2) of this section are detected and confirmed, or that conditions
exist that render the owner or operator unable to continue to satisfy the
variance requirements of section
66264.273(j)(2),
the owner or operator shall, within 72 hours, report to the Department
describing the full extent of the owner's or operator's findings, including the
identification of all constituents which have shown a statistically significant
increase.
(j) Upon receiving notice
pursuant to subsection (i) of this section, or upon independent confirmation by
the Department, the Department shall order the owner or operator to cease
operating the land treatment unit. The owner or operator shall not resume
operating the land treatment unit and shall close the land treatment unit
unless one of the following actions is taken:
(1) the owner or operator completes
appropriate removal or remedial actions to the satisfaction of the Department,
and the owner or operator submits to the Department, and the Department
approves, an application for a permit or a variance modification to modify the
operating practices at the facility to maximize the success of degradation,
immobilization, or transformation processes in the treatment zone; or
(2) the owner or operator completes
appropriate removal or remedial actions, submits to the Department, and the
Department approves, an application for a permit or a variance modification to
modify the operating practices at the facility to maximize the success of
degradation, immobilization, or transformation processes in the treatment zone,
and equips the land treatment unit with liners and a leachate collection and
removal system that satisfy the requirements of section
66264.273(j)(1).
(k) All actions taken by an owner or operator
pursuant to subsections (j)(1) or (j)(2) of this section shall be completed
within a time period specified by the Department, which shall not exceed 18
months after the Department receives notice pursuant to subsection (i) of this
section. If the actions are not completed within this time period, the land
treatment unit shall be closed, unless granted an extension by the Department
due to exceptional circumstances beyond the control of the owner and
operator.
(l) If the owner or
operator determines, pursuant to subsection (f) of this section, that there is
a statistically significant increase of hazardous constituents below the
treatment zone, the owner or operator may demonstrate that a source other than
the land treatment unit caused the increase or that the increase resulted from
an error in sampling, analysis, or evaluation. While the owner or operator may
make a demonstration under this subsection in addition to, or in lieu of the
requirements under subsections (j)(1) or (j)(2) of this section, the owner or
operator is not relieved of the requirements of subsections (j) and (k) of this
section unless the demonstration made under this subsection successfully shows
that a source other than the land treatment unit caused the increase or that
the increase resulted from an error in sampling, analysis, or evaluation. In
making a demonstration under this subsection, the owner or operator shall:
(1) notify the Department in writing within
seven days of determining a statistically significant increase below the
treatment zone that the owner or operator intends to make a determination under
this subsection;
(2) within 90
days, submit a report to the Department demonstrating that a source other than
the regulated units caused the increase or that the increase resulted from
error in sampling, analysis, or evaluation;
(3) within 90 days, submit to the Department
an application for a permit modification to make any appropriate changes to the
vadose zone monitoring program at the facility; and
(4) continue to monitor in accordance with
the vadose zone monitoring program established under this
section.