(1) General Reporting Requirements.
(a) Each source required to install a
continuous monitoring system shall submit the state electronic data report
including all information specified in (2) through (10) below. Each source
shall submit a complete, unmodified report in an electronic ASCII format
specified by the director.
(b)
Partial Reports.
(i) If the total duration of
excess emissions during the reporting period is less than one percent of the
total operating time and the continuous monitoring system downtime is less than
five percent of the total operating time, only the summary portion of the state
electronic data report need be submitted.
(ii) If the total excess emission during the
reporting period is equal to or greater than one percent of the total operating
time, or the total monitored downtime is equal to or greater than five percent
of the total operating time, the total state electronic data report shall be
submitted.
(iii) Each source
required to install a continuous monitoring system for the sole purpose of
generating emissions inventory data is not required to submit the excess
emission report required by (7) below or the excess emission summary required
by (6)(b) below, unless otherwise directed by the director.
(c) Frequency of Reporting. Each
source subject to this rule shall submit a report to the director with the
following frequency:
(i) Each source shall
submit a report quarterly, if required by the director or by 40 CFR Part
60, or
if the continuous monitoring system data is used for compliance determination.
Each source submitting quarterly reports shall submit them by January 30, April
30, July 30, and October 30 for the quarter ending 30 days earlier.
(ii) Any source subject to this rule and not
required to submit a quarterly report shall submit its report semiannually by
January 30 and July 30 for the six month period ending 30 days
earlier.
(iii) The director may
require any source to submit all emission data generated on a quarterly
basis.
(2)
Source Information.
The report shall contain source information including the
company name, name of manager or responsible official, mailing address, AIRS
number, phone number, environmental contact name, each source required to
install a monitoring system, quarter or quarters covered by the report, year,
and the operating time for each source.
(3) Continuous Monitoring System Information.
The report shall identify each channel, manufacturer, model
number, serial number, monitor span, installation dates, and whether the
monitor is located in the stack or duct.
(4) Monitor Availability Reporting.
(a) The report shall include all periods that
the pollutant concentration exceeded the span of the continuous monitoring
system by source, channel, start date and time, and end date and
time.
(b) Each continuous
monitoring system outage or malfunction which occurs during source operation
shall be reported by source, channel, start date and time, and end date and
time.
(c) When it becomes necessary
to supplement continuous monitoring data to meet the minimum data requirements,
the source shall use applicable reference methods and procedures as outlined in
40 CFR
60, or as stipulated in the source's applicable Subpart of the New
Source Performance Standards. Supplemental data shall be reported by source,
channel, start date and time, and end date and time, and may be used to offset
monitor unavailability.
(d) Monitor
modifications shall be reported by source, channel, date of modification,
whether a support document was submitted, and the reason for the
modification.
(5)
Continuous Monitoring System Performance Specification Audits.
(a) Each source shall submit the results of
each relative accuracy test audit, relative accuracy audit and cylinder gas
audit. Each source that reports linearity tests may omit reporting cylinder gas
audits.
(b) Each relative accuracy
test audit shall be reported by source, channel, date of the most current
relative accuracy test audit, date of the preceding relative accuracy test
audit, number of months between relative accuracy test audits, units of
applicable standard, average continuous emissions monitor response during
testing, average reference method value, relative accuracy, and whether the
continuous emissions monitor passed or failed the test or audit.
(c) A relative accuracy audit shall be
reported by source, channel, date of audit, continuous emissions monitor
response, relative accuracy audit response, percent precision, pass or fail
results, and whether the monitor range is high or low.
(d) Cylinder gas audit and linearity tests
shall be reported by source, channel, date, audit point number, cylinder
identification, cylinder expiration date, type of certification, units of
measurement, continuous emissions monitor response, cylinder concentration,
percent precision, pass or fail results, and whether the monitor range is high
or low.
(6) Summary
reports.
(a) Each source shall summarize and
report each continuous monitoring system outage that occurred during the
reporting period in the continuous monitoring system performance summary
report. The summary must include the source, channels, monitor downtime as a
percent of the total source operating hours, total monitor downtime, hours of
monitor malfunction, hours of non-monitor malfunction, hours of quality
assurance calibrations, and hours of other known and unknown causes of monitor
downtime. A source operating a backup continuous monitoring system must account
for monitor unavailability only when accurate emission data are not being
collected by either continuous monitoring system.
(b) The summary report shall contain a
summary of excess emissions that occurred during the reporting period unless
the continuous monitoring system was installed to document compliance with an
emission cap or to generate data for annual emissions inventories.
(i) Each source with multiple emission
limitations per channel being monitored shall summarize excess emissions for
each emission limitation.
(ii) The
emission summary must include the source, channels, total hours of excess
emissions as a percent of the total source operating hours, hours of start-up
and shutdown, hours of control equipments problems, hours of process problems,
hours of other known and unknown causes, emission limitation, units of
measurement, and emission limitation averaging period.
(c) When no continuous monitoring
unavailability or excess emissions have occurred, this shall be documented by
placing a zero under each appropriate heading.
(7) Excess Emissions Report.
(a) The magnitude and duration of all excess
emissions shall be reported on an hourly basis in the excess emissions report.
(i) The duration of excess emissions based on
block averages shall be reported in terms of hours over which the emissions
were averaged. Each source that averages opacity shall average it over a
six-minute block and shall report the duration of excess opacity in tenths of
an hour. Sources using a rolling average shall report the duration of excess
emissions in terms of the number of hours being rolled into the averaging
period.
(ii) Sources with multiple
emission limitations per channel being monitored shall report the magnitude of
excess emissions for each emission limitation.
(b) Each period of excess emissions that
occurs shall be reported. Each episode of excess emission shall be accompanied
with a reason code and action code that links the excess emission to a specific
description, which describes the events of the episode.
(8) Operations Report.
Each source operating fossil fuel fired steam generators
subject to 40 CFR 60, Standards of Performance for New Stationary Sources,
shall submit an operations report.
(9) Signed Statement.
(a) Each source shall submit a signed
statement acknowledging under penalties of law that all information contained
in the report is truthful and accurate, and is a complete record of all
monitoring related events that occurred during the reporting period. In
addition, each source with an operating permit issued under R307-415 shall
submit the signed statement required in R307-415-5 d.
(10) Descriptions.
Each source shall submit a narrative description explaining
each event of monitor unavailability or excess emissions. Each description also
shall be accompanied with reason codes and action codes that will link
descriptions to events reported in the monitoring information and excess
emission report.