Utah Admin. Code R315-264-90 - Releases From Solid Waste Management Units - Applicability
(a)
(1)
Except as provided in Subsection R315-264-90(b), the regulations in Sections
R315-264-90 through 101 apply to owners or operators of facilities that treat,
store or dispose of hazardous waste. The owner or operator shall satisfy the
requirements identified in Subsection R315-264-90(a)(2) for all wastes, or
constituents thereof, contained in solid waste management units at the
facility, regardless of the time at which waste was placed in such units.
(2) All solid waste management
units shall comply with the requirements in Section
R315-264-101.
A surface impoundment, waste pile, and land treatment unit or landfill that
receives hazardous waste after July 26, 1982, hereinafter referred to as a
"regulated unit", shall comply with the requirements of Sections
R315-264-91
through 100 in lieu of Section
R315-264-101
for purposes of detecting, characterizing and responding to releases to the
uppermost aquifer. The financial responsibility requirements of Section
R315-264-101
apply to regulated units.
(3)
Groundwater monitoring shall be required at non-land disposal facilities as
determined to be necessary and appropriate by the Director.
(b) The owner or operator's
regulated unit or units are not subject to regulation for releases into the
uppermost aquifer under Sections R315-264-90 through 101 if:
(1) The owner or operator is exempted under
Section
R315-264-1;
or
(2) He operates a unit which
the Director finds:
(i) Is an engineered
structure,
(ii) Does not receive
or contain liquid waste or waste containing free liquids,
(iii) Is designed and operated to exclude
liquid, precipitation, and other run-on and run-off,
(iv) Has both inner and outer layers of
containment enclosing the waste,
(v) Has a leak detection system built into
each containment layer,
(vi) The
owner or operator shall provide continuing operation and maintenance of these
leak detection systems during the active life of the unit and the closure and
post-closure care periods, and
(vii) To a reasonable degree of certainty,
will not allow hazardous constituents to migrate beyond the outer containment
layer prior to the end of the post-closure care period.
(3) The Director finds, pursuant to Section
R315-264-280(d),
that the treatment zone of a land treatment unit that qualifies as a regulated
unit does not contain levels of hazardous constituents that are above
background levels of those constituents by an amount that is statistically
significant, and if an unsaturated zone monitoring program meeting the
requirements of Section R35-264-278 has not shown a statistically significant
increase in hazardous constituents below the treatment zone during the
operating life of the unit. An exemption under Subsection R315-264-90(b) can
only relieve an owner or operator of responsibility to meet the requirements of
Sections R315-264-90 through 101 during the post-closure care period; or
(4) The Director finds that there
is no potential for migration of liquid from a regulated unit to the uppermost
aquifer during the active life of the regulated unit, including the closure
period, and the post-closure care period specified under Section
R315-264-117.
This demonstration shall be certified by a qualified geologist or geotechnical
engineer. In order to provide an adequate margin of safety in the prediction of
potential migration of liquid, the owner or operator shall base any predictions
made under Subsection R315-264-90(b) on assumptions that maximize the rate of
liquid migration.
(5) He designs
and operates a pile in compliance with Section
R315-264-250(c).
(c) The regulations
under Sections R315-264-90 through 101 apply during the active life of the
regulated unit, including the closure period. After closure of the regulated
unit, the regulations in Sections R315-264-90 through 101:
(1) Do not apply if all waste, waste
residues, contaminated containment system components, and contaminated subsoils
are removed or decontaminated at closure;
(2) Apply during the post-closure care period
under Section
R315-264-117
if the owner or operator is conducting a detection monitoring program under
Section
R315-264-98;
or
(3) Apply during the compliance
period under Section
R315-264-96 if
the owner or operator is conducting a compliance monitoring program under
Section
R315-264-99
or a corrective action program under Section
R315-264-100.
(d) Regulations in
Sections R315-264-90 through 101 may apply to miscellaneous units when
necessary to comply with Sections
R315-264-601
through 603.
(e) The regulations
of Sections R315-264-90 through 101 apply to all owners and operators subject
to the requirements of Subsection
R315-270-1(c)(7),
when the Agency issues either a post-closure permit or an enforceable document,
as defined in Subsection
R315-270-1(c)(7)
at the facility. When the Director issues an enforceable document, references
in Sections R315-264-90 through 101 to "in the permit" mean "in the enforceable
document."
(f) The Director may
replace all or part of the requirements of Sections
R315-264-91
through 100 applying to a regulated unit with alternative requirements for
groundwater monitoring and corrective action for releases to groundwater set
out in the permit, or in an enforceable document, as defined in Subsection
R315-270-1(c)(7),
where the Director determines that:
(1) The
regulated unit is situated among solid waste management units, or areas of
concern, a release has occurred, and both the regulated unit and one or more
solid waste management unit(s), or areas of concern, are likely to have
contributed to the release; and
(2) It is not necessary to apply the
groundwater monitoring and corrective action requirements of Sections
R315-264-91
through 100 because alternative requirements will protect human health and the
environment.
Notes
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