Ill. Admin. Code tit. 35, § 724.199 - Compliance Monitoring Program
An owner or operator required to establish a compliance monitoring program under this Subpart F must, at a minimum, discharge the following responsibilities:
a) The
owner or operator must monitor the groundwater to determine whether regulated
units are in compliance with the groundwater protection standard under Section
724.192.
The Agency must specify the groundwater protection standard in the facility
permit, including the following:
1) A list of
the hazardous constituents identified under Section
724.193;
2) Concentration limits under Section
724.194 for
each of those hazardous constituents;
3) The compliance point under Section
724.195;
and
4) The compliance period under
Section
724.196.
b) The owner or operator must install a
groundwater monitoring system at the compliance point as specified under
Section 724.195. The groundwater monitoring system must comply with Section
724.197(a)(2),
724.197(b),
and
724.197(c).
c) The Agency must specify the sampling
procedures and statistical methods appropriate for the constituents and
facility, consistent with Section
724.197(g)
and (h).
1)
The owner or operator must conduct a sampling program for each chemical
parameter or hazardous constituent in accordance with Section
724.197(g).
2) The owner or operator must record
groundwater analytical data as measured and in a form necessary for the
determination of statistical significance under Section
724.197(h)
for the compliance period of the facility.
d) The owner or operator must determine
whether there is statistically significant evidence of increased contamination
for any chemical parameter or hazardous constituent specified in the permit,
pursuant to subsection (a), at a frequency specified under subsection (f).
1) In determining whether statistically
significant evidence of increased contamination exists, the owner or operator
must use the methods specified in the permit under Section
724.197(h).
The methods must compare data collected at the compliance points to a
concentration limit developed in accordance with Section 724.194.
2) The owner or operator must determine
whether there is statistically significant evidence of increased contamination
at each monitoring well at the compliance point within a reasonable time period
after completion of the sampling. The Agency must 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
groundwater samples.
e)
The owner or operator must determine the groundwater flow rate and direction in
the uppermost aquifer at least annually.
f) The Agency must specify the frequencies
for collecting samples and conducting statistical tests to determine
statistically significant evidence of increased contamination in accordance
with Section
724.197(g).
g) The owner or operator must annually
determine whether additional hazardous constituents from Appendix I, which
could possibly be present but are not on the detection monitoring list in the
permit, are actually present in the uppermost aquifer and, if so, at what
concentration, pursuant to procedures in Section
724.198(f).
To accomplish this, the owner or operator must consult with the Agency to
determine the following on a case-by-case basis: which sample collection event
during the year will involve enhanced sampling; the number of monitoring wells
at the compliance point to undergo enhanced sampling; the number of samples to
be collected from each of these monitoring wells; and, the specific
constituents from Appendix I for which these samples must be analyzed. If the
enhanced sampling event indicates that Appendix I constituents are present in
the ground water that are not already identified in the permit as monitoring
constituents, the owner or operator may resample within one month or at an
alternative site-specific schedule approved by the Agency, and repeat the
analysis. If the second analysis confirms the presence of new constituents, the
owner or operator must report the concentration of these additional
constituents to the Agency within seven days after the completion of the second
analysis and add them to the monitoring list. If the owner or operator chooses
not to resample, then it must report the concentrations of these additional
constituents to the Agency within seven days after completion of the initial
analysis, and add them to the monitoring list.
h) If the owner or operator determines,
pursuant to subsection (d) that any concentration limits under Section
724.194 are
being exceeded at any monitoring well at the point of compliance, the owner or
operator must do the following:
1) Notify the
Agency of this finding in writing within seven days. The notification must
indicate what concentration limits have been exceeded.
2) Submit to the Agency an application for a
permit modification to establish a corrective action program meeting the
requirements of Section
724.200
within 180 days, or within 90 days if an engineering feasibility study has been
previously submitted to the Agency under Section
724.198(g)(5).
The application must at a minimum include the following information:
A) A detailed description of corrective
actions that will achieve compliance with the groundwater protection standard
specified in the permit under subsection (a); and
B) A plan for a groundwater monitoring
program that will demonstrate the effectiveness of the corrective action. Such
a groundwater monitoring program may be based on a compliance monitoring
program developed to meet the requirements of this Section.
i) If the owner or
operator determines, pursuant to subsection (d), that the groundwater
concentration limits under this Section are being exceeded at any monitoring
well at the point of compliance, the owner or operator may demonstrate that a
source other than a regulated unit caused the contamination or that the
detection is an artifact caused by an error in sampling, analysis, or
statistical evaluation, or natural variation in groundwater. In making a
demonstration under this subsection (i), the owner or operator must do the
following:
1) Notify the Agency in writing
within seven days that it intends to make a demonstration under this subsection
(i);
2) Within 90 days, submit a
report to the Agency that demonstrates that a source other than a regulated
unit caused the standard to be exceeded or that the apparent noncompliance with
the standards resulted from error in sampling, analysis, or
evaluation;
3) Within 90 days,
submit to the Agency an application for a permit modification to make any
appropriate changes to the compliance monitoring program at the facility;
and
4) Continue to monitor in
accord with the compliance monitoring program established under this Section.
j) If the owner or
operator determines that the compliance monitoring program no longer satisfies
the requirements of this Section, the owner or operator must, within 90 days,
submit an application for a permit modification to make any appropriate changes
to the program.
Notes
Amended at 34 Ill. Reg. 18873, effective November 12, 2010
State regulations are updated quarterly; we currently have two versions available. Below is a comparison between our most recent version and the prior quarterly release. More comparison features will be added as we have more versions to compare.
No prior version found.