Proposed Text
CHAPTER 151
GENERAL VIRGINIA POLLUTANT DISCHARGE ELIMINATION SYSTEM (VPDES) GENERAL
PERMIT REGULATION FOR DISCHARGES OF STORM WATER STORMWATER ASSOCIATED
WITH INDUSTRIAL ACTIVITY
9VAC25-151-10. Definitions.
The words and terms used in this chapter shall have the meanings defined in the State Water Control Law (§ 62.1-44.2 et seq. of the Code of Virginia) and the VPDES Permit Regulation (9VAC25-31) unless the context clearly indicates otherwise, except that for the purposes of this chapter:
"Best management practices" or "BMPs"
means schedules of activities, practices (and prohibitions of practices),
prohibitions of practices, structures, vegetation, maintenance
procedures, and other management practices, including both structural and
nonstructural practices, to prevent or reduce the discharge of pollutants
to surface waters. BMPs also include treatment requirements, operating
procedures, and practices to control plant site runoff, spillage or leaks,
sludge or waste disposal, or drainage from raw material storage.
"Board" means the Virginia State Water Control Board or State Water Control Board.
"Closed landfill" means a landfill that, on a permanent basis, will no longer receive waste and has completed closure in accordance with applicable federal, state, or local requirements.
"Coal pile runoff" means the rainfall runoff from or through any coal storage pile.
"Colocated industrial activity" means any industrial activity, excluding the facility's primary industrial activity, located on-site that meets the description of a category included in the "industrial activity" definition. An activity at a facility is not considered colocated if the activity, when considered separately, does not meet the description of a category included in the "industrial activity" definition or identified by the Standard Industrial Classification (SIC) code list in Table 50‑2 in 9VAC25-151-50.
"Commercial treatment and disposal facilities" means facilities that receive, on a commercial basis, any produced hazardous waste (not their own) and treat or dispose of those wastes as a service to the generators. Such facilities treating or disposing exclusively residential hazardous wastes are not included in this definition.
"Control measure" means any best management practice or other method (including effluent limitations) used to prevent or reduce the discharge of pollutants to surface waters.
"Corrective action" means any action to (i) repair, modify, or replace any stormwater control used at the facility, (ii) clean up and properly dispose of spills, releases, or other deposits at the facility, or (iii) return to compliance with permit requirements.
"Department" or "DEQ" means the Virginia Department of Environmental Quality.
"Director" means the Director of the Department of Environmental Quality or an authorized representative.
"Existing discharger" means an operator applying for coverage under this permit for discharges authorized previously under a VPDES general or individual permit.
"Impaired water" means, for purposes of this chapter, a water that has been identified by Virginia pursuant to § 303(d) of the Clean Water Act as not meeting applicable water quality standards (these waters are called "water quality limited segments" under 40 CFR 30.2(j)). Impaired waters include both waters with approved or established TMDLs, and those for which a TMDL has not yet been approved or established.
"Impervious surface" means a surface composed of any material that significantly impedes or prevents natural infiltration of water into the soil.
"Industrial activity" - the following categories of facilities are considered to be engaging in "industrial activity":
1. Facilities subject to stormwater effluent limitations guidelines, new source performance standards, or toxic pollutant effluent standards under 40 CFR Subchapter N (except facilities with toxic pollutant effluent standards which are exempted under category 10 of this definition);
2. Facilities classified as Standard Industrial Classification (SIC) 24 (except 2434), 26 (except 265 and 267), 28 (except 283 and 285), 29, 311, 32 (except 323), 33, 3441, and 373 (Office of Management and Budget (OMB) SIC Manual, 1987);
3. Facilities classified as SIC 10 through 14 (mineral
industry) (OMB SIC Manual, 1987) including active or inactive mining operations
(except for areas of coal mining operations no longer meeting the definition of
a reclamation area under 40 CFR 434.11(l) because the performance bond issued
to the facility by the appropriate Surface Mining Control and Reclamation Act
of 1977 (SMCRA) (30 USC § 1201 et seq.) authority has been released, or except
for areas of noncoal mining operations which have been released from applicable
state or federal reclamation requirements after December 17, 1990) and oil and
gas exploration, production, processing, or treatment operations, or
transmission facilities that discharge stormwater contaminated by contact with
or that has come into contact with, any overburden, raw material, intermediate
products, finished products, byproducts or waste products located on the site
of such operations; (inactive mining operations are mining sites that are not
being actively mined, but which have an identifiable owner/operator owner
or operator; inactive mining sites do not include sites where mining claims
are being maintained prior to disturbances associated with the extraction,
benefication, or processing of mined materials, nor sites where minimal
activities are undertaken for the sole purpose of maintaining a mining claim);
4. Hazardous waste treatment, storage, or disposal facilities, including those that are operating under interim status or a permit under Subtitle C of the Resource Conservation and Recovery Act (RCRA) (42 USC § 6901 et seq.);
5. Landfills, land application sites, and open dumps that
receive or have received any industrial wastes (waste that is received from any
of the facilities described under this definition, and debris/wastes debris
or wastes from VPDES regulated construction activities/sites activities
or sites,) including those that are subject to regulation under Subtitle D
of RCRA;
6. Facilities involved in the recycling of materials, including metal scrapyards, battery reclaimers, salvage yards, and automobile junkyards, including but limited to those classified as Standard Industrial Classification Codes 5015 and 5093 (OMB SIC Manual, 1987);
7. Steam electric power generating facilities, including coal handling sites;
8. Transportation facilities classified as SIC Codes 40, 41, 42 (except 4221‑4225), 43, 44, 45, and 5171 (OMB SIC Manual, 1987) which have vehicle maintenance shops, equipment cleaning operations, or airport deicing operations. Only those portions of the facility that are either involved in vehicle maintenance (including vehicle rehabilitation, mechanical repairs, painting, fueling, and lubrication), equipment cleaning operation, airport deicing operation, or which are otherwise identified under categories 1 through 7 or 9 and 10 of this definition are associated with industrial activity;
9. Treatment works treating domestic sewage or any other sewage sludge or wastewater treatment device or system used in the storage treatment, recycling, and reclamation of municipal or domestic sewage, including land dedicated to the disposal of sewage sludge that is located within the confines of the facility, with a design flow of 1.0 MGD or more, or required to have an approved POTW pretreatment program under 9VAC25-31. Not included are farm lands, domestic gardens or lands used for sludge management where sludge is beneficially reused and which are not physically located in the confines of the facility, or areas that are in compliance with 9VAC25-31-420 through 9VAC25-31- 720;
10. Facilities under SIC Codes 20, 21, 22, 23, 2434, 25, 265, 267, 27, 283, 285, 30, 31 (except 311), 323, 34 (except 3441), 35, 36, 37 (except 373), 38, 39, 4221‑4225 (OMB SIC Manual, 1987).
"Industrial stormwater" means stormwater runoff from industrial activity.
"Land application unit" means an area where wastes are applied onto or incorporated into the soil surface (excluding manure spreading operations) for treatment or disposal.
"Landfill" means an area of land or an excavation in which wastes are placed for permanent disposal, and that is not a land application unit, surface impoundment, injection well, or waste pile.
"Measurable storm event" means a storm event that
results in an actual a discharge from a site an outfall.
"Minimize" means reduce or eliminate to the extent achievable using control measures (including best management practices) that are technologically available and economically practicable and achievable in light of best industry practice.
"MS4" means a municipal separate storm sewer
system.
"Municipal separate storm sewer system" or "MS4" means a conveyance or system of conveyances (including roads with drainage systems, municipal streets, catch basins, curbs, gutters, ditches, man-made channels, or storm drains): (i) owned or operated by a state, city, town, borough, county, parish, district, association, or other public body (created by or pursuant to state law) having jurisdiction over disposal of sewage, industrial wastes, stormwater, or other wastes, including special districts under state law such as a sewer district, flood control district or drainage district, or similar entity, or an Indian tribe or an authorized Indian tribal organization, or a designated and approved management agency under § 208 of the CWA that discharges to surface waters of the state; (ii) designed or used for collecting or conveying stormwater; (iii) which is not a combined sewer; and (iv) which is not part of a Publicly Owned Treatment Works (POTW).
"No exposure" means all industrial materials or activities are protected by a storm-resistant shelter to prevent exposure to rain, snow, snowmelt, or runoff.
"Primary industrial activity" includes any activities performed on-site which are:
1. Identified by the facility's primary SIC code; or
2. Included in the narrative descriptions of the definition of "industrial activity."
Narrative descriptions in the "industrial activity" definition include: category 1 activities subject to stormwater effluent limitations guidelines, new source performance standards, or toxic pollutant effluent standards; category 4 hazardous waste treatment storage or disposal facilities, including those that are operating under interim status or a permit under subtitle C of the Resource Conservation and Recovery Act (RCRA); category 5 landfills, land application sites, and open dumps that receive or have received industrial wastes; category 7 steam electric power generating facilities; and category 9 sewage treatment works with a design flow of 1.0 mgd or more.
For colocated activities covered by multiple SIC codes, the primary industrial determination should be based on the value of receipts or revenues, or, if such information is not available for a particular facility, the number of employees or production rate for each process may be compared. The operation that generates the most revenue or employs the most personnel is the operation in which the facility is primarily engaged. In situations where the vast majority of on-site activity falls within one SIC code, that activity may be the primary industrial activity.
"Runoff coefficient" means the fraction of total rainfall that will appear at the conveyance as runoff.
"Significant materials" includes, but is not
limited to: raw materials; fuels; materials such as solvents, detergents,
and plastic pellets; finished materials such as metallic products; raw
materials used in food processing or production; hazardous substances
designated under § 101(14) of the Comprehensive Environmental Response,
Compensation and Liability Act (CERCLA) (42 USC § 9601 et seq.); any chemical
the facility is required to report pursuant to EPCRA § 313; fertilizers;
pesticides; and waste products such as ashes, slag and sludge that have the
potential to be released with stormwater discharges.
"Significant spills" includes, but is not limited
to: releases of oil or hazardous substances in excess of reportable
quantities under § 311 of the Clean Water Act (see 40 CFR 110.10 and 40 CFR
117.21) or § 102 of CERCLA (see 40 CFR 302.4).
"Site" means the land or water area where any facility or activity is physically located or conducted, including adjacent land used in connection with the facility or activity.
"Stormwater" means stormwater runoff, snow melt runoff, and surface runoff and drainage.
"Stormwater discharge associated with industrial
activity" means the discharge from any conveyance which is used for
collecting and conveying stormwater and that is directly related to
manufacturing, processing or raw materials storage areas at an industrial plant.
The term does not include discharges from facilities or activities excluded
from the VPDES program under 9VAC25-31. For the categories of industries
identified in the "industrial activity" definition, the term includes,
but is not limited to, stormwater discharges from industrial plant yards;
immediate access roads and rail lines used or traveled by carriers of raw
materials, manufactured products, waste material, or by-products used or
created by the facility; material handling sites; refuse sites; sites used for
the application or disposal of process wastewaters; sites used for the storage
and maintenance of material handling equipment; sites used for residual
treatment, storage, or disposal; shipping and receiving areas; manufacturing
buildings; storage areas (including tank farms) for raw materials, and
intermediate and final products; and areas where industrial activity has taken
place in the past and significant materials remain and are exposed to
stormwater. For the purposes of this definition, material handling activities
include the storage, loading and unloading, transportation, or conveyance of
any raw material, intermediate product, final product, by-product or waste
product. The term excludes areas located on plant lands separate from the plant's
industrial activities, such as office buildings and accompanying parking lots,
as long as the drainage from the excluded areas is not mixed with stormwater
drained from the above described areas. Industrial facilities include those
that are federally, state, or municipally owned or operated that meet the
description of the facilities listed in the "industrial activity"
definition. The term also includes those facilities designated under the
provisions of 9VAC25-31-120 A 1 c, or under 9VAC25-31-120 A 7 a (1) or (2) of
the VPDES Permit Regulation.
"SWPPP" means stormwater pollution protection plan.
"Total maximum daily load" or "TMDL" means
a calculation of the maximum amount of a pollutant that a waterbody can receive
and still meet water quality standards, and an allocation of that amount to the
pollutant's sources. A TMDL includes wasteload allocations (WLAs) for point
source discharges, load allocations (LAs) for nonpoint sources and/or or
natural background, and must include a margin of safety (MOS) and account for
seasonal variations.
"Virginia Environmental Excellence Program" or "VEEP" means a voluntary program established by the department to provide public recognition and regulatory incentives to encourage higher levels of environmental performance for program participants that develop and implement environmental management systems (EMSs). The program is based on the use of EMSs that improve compliance, prevent pollution, and utilize other measures to improve environmental performance.
"Waste pile" means any noncontainerized accumulation of solid, nonflowing waste that is used for treatment or storage.
9VAC25-151-15. Applicability of incorporated references based on the dates that they became effective.
Except as noted, when a regulation of the U.S. Environmental
Protection Agency set forth in Title 40 CFR is referenced and incorporated herein,
that regulation shall be as it exists and has been published as of July 1, 2013
2018.
9VAC25-151-40. Effective date of the permit.
This general permit will become effective on July 1, 2014
2019. This general permit will expire on June 30, 2019 2024.
9VAC25-151-50. Authorization to discharge.
A. To be eligible to discharge under this permit, an owner must (i) have a stormwater discharge associated with industrial activity from the facility's primary industrial activity, as defined in 9VAC25-151-10 (Definitions), provided the primary industrial activity is included in Table 50-2 of this section, or (ii) be notified that discharges from the facility have been designated by the board for permitting under the provisions of 9VAC25-31-120 A 1 c, or under 9VAC25-31-120 A 7 a (1) or (2) of the VPDES Permit Regulation, and are eligible for coverage under Sector AD of this permit.
Any owner governed by this general permit is hereby authorized to discharge stormwater associated with industrial activity, as defined in this chapter, to surface waters of the Commonwealth of Virginia provided that:
1. The owner submits a registration statement in accordance with 9VAC25-151-60, and that registration statement is accepted by the board;
2. The owner submits the required permit fee;
3. The owner complies with the applicable requirements of 9VAC25-151-70 et seq.; and
4. The board has not notified the owner that the discharge is ineligible for coverage in accordance with subsection B of this section.
B. The board will notify an owner that the discharge is not eligible for coverage under this general permit in the event of any of the following:
1. The owner is required to obtain an individual permit in accordance with 9VAC25-31-170 B 3 of the VPDES Permit Regulation;
2. The owner is proposing to discharge to state waters specifically named in other board regulations that prohibit such discharges;
3. The discharge violates or would violate the antidegradation policy in the Water Quality Standards at 9VAC25-260-30; or
4. The discharge is not consistent with the assumptions and
requirements of an approved TMDL. Note: Virginia's Phase I Chesapeake
Bay TMDL Watershed Implementation Plan (November 29, 2010) states that
wasteloads for future growth for new facilities in the Chesapeake Bay watershed
with industrial stormwater discharges cannot exceed the nutrient and sediment
loadings that were discharged prior to the land being developed for the new
industrial activity. For purposes of this permit regulation, facilities that
commence construction after June 30, 2014 2019, must be
consistent with this requirement to be eligible for coverage under this general
permit.
C. 1. Facilities with colocated industrial activities on-site
shall comply with all applicable effluent limitations, monitoring and pollution
prevention plan SWPPP requirements of each section of 9VAC25-151-70
et seq. in which a colocated industrial activity is described.
2. Stormwater discharges associated with industrial activity that are mixed with other discharges (both stormwater and nonstormwater) requiring a VPDES permit are authorized by this permit, provided that the owner obtains coverage under this VPDES general permit for the industrial activity discharges, and a VPDES general or individual permit for the other discharges. The owner shall comply with the terms and requirements of each permit obtained that authorizes any component of the discharge.
3. The stormwater discharges authorized by this permit may be combined with other sources of stormwater which are not required to be covered under a VPDES permit, so long as the combined discharge is in compliance with this permit.
4. Authorized nonstormwater discharges. The following "nonstormwater" discharges are authorized by this permit:
a. Discharges from emergency firefighting activities;
b. Fire hydrant flushings flushing, managed in a
manner to avoid an instream impact;
c. Potable water, including water line flushings flushing,
managed in a manner to avoid an instream impact;
d. Uncontaminated condensate from air conditioners, coolers, and other compressors and from the outside storage of refrigerated gases or liquids;
e. Irrigation drainage;
f. Landscape watering provided all pesticides, herbicides, and fertilizer have been applied in accordance with the approved labeling;
g. Pavement wash waters where no detergents or hazardous cleaning products are used and no spills or leaks of toxic or hazardous materials have occurred (unless all spilled material has been removed). Pavement wash waters shall be managed in a manner to avoid an instream impact;
h. Routine external building washdown that does not use detergents or hazardous cleaning products;
i. Uncontaminated ground water or spring water;
j. Foundation or footing drains where flows are not contaminated with process materials; and
k. Incidental windblown mist from cooling towers that collects on rooftops or adjacent portions of the facility, but not intentional discharges from the cooling tower (e.g., "piped" cooling tower blowdown or drains).
5. Stormwater discharges associated with construction activity that are regulated under a VPDES permit are not authorized by this permit.
6. Discharges subject to stormwater effluent limitation guidelines under 40 CFR Subchapter N (Effluent Guidelines and Standards). Only those stormwater discharges subject to stormwater effluent limitation guidelines under 40 CFR Subchapter N that are identified in Table 50-1 of this subsection are eligible for coverage under this permit.
TABLE 50 - 1 |
|
Effluent Limitation Guideline |
Sectors with Affected Facilities |
Runoff from material storage piles at cement manufacturing facilities (40 CFR Part 411 Subpart C (established February 20, 1974)) |
E |
Contaminated runoff from phosphate fertilizer manufacturing facilities (40 CFR Part 418 Subpart A (established April 8, 1974)) |
C |
Coal pile runoff at steam electric generating facilities (40 CFR Part 423 (established November 19, 1982)) |
O |
Discharges resulting from spray down or intentional wetting of logs at wet deck storage areas (40 CFR Part 429 Subpart I (established January 26, 1981)) |
A |
Runoff from asphalt emulsion facilities (40 CFR Part 443 Subpart A (established July 24, 1975)) |
D |
Runoff from landfills (40 CFR Part 445 Subparts A and B (established January 19, 2000)) |
K and L |
Discharges from airport deicing operations (40 CFR Part 449 (established May 16, 2012)) |
|
7. Permit eligibility is limited to discharges from facilities
in the "sectors" of industrial activity summarized in Table 50-2 of
this subsection. These sector descriptions are based on Standard Industrial
Classification (SIC) Codes and Industrial Activity Codes. References to
"sectors" in this permit (e.g., sector-specific monitoring
requirements) refer to these groupings.
TABLE 50 - 2 |
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SIC Code or Activity Code |
Activity Represented |
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Sector A: Timber Products |
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2491 |
Wood Preserving. |
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2499 |
Wood Products, Not Elsewhere Classified (includes SIC Code 24991303 - Wood, Mulch and Bark facilities). |
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Sector B: Paper and Allied Products |
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2631 |
Paperboard Mills. |
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Sector C: Chemical and Allied Products |
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2812‑2819 |
Industrial Inorganic Chemicals. |
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2821‑2824 |
Plastics Materials and Synthetic Resins, Synthetic Rubber,
Cellulosic and Other |
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2841‑2844 |
Soaps, Detergents, and Cleaning Preparations; Perfumes, Cosmetics, and Other Toilet Preparations. |
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2873‑2879 |
Agricultural Chemicals (includes SIC Code 2875 - Composting Facilities). |
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Sector D: Asphalt Paving and Roofing Materials and Lubricants |
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2951, 2952 |
Asphalt Paving and Roofing Materials. |
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2992, 2999 |
Miscellaneous Products of Petroleum and Coal. |
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Sector E: Glass Clay, Cement, Concrete, and Gypsum Products |
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3251‑3259 |
Structural Clay Products. |
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3261‑3269 |
Pottery and Related Products. |
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3274, 3275 |
Concrete, Gypsum and Plaster Products, Except: Concrete Block and Brick; Concrete Products, except Block and Brick; and Ready-Mixed Concrete Facilities (SIC Codes 3271‑3273). |
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Sector F: Primary Metals |
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3312‑3317 |
Steel Works, Blast Furnaces, and Rolling and Finishing Mills. |
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3321‑3325 |
Iron and Steel Foundries. |
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3351‑3357 |
Rolling, Drawing, and Extruding of Nonferrous Metals. |
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3363‑3369 |
Nonferrous Foundries (Castings). |
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Sector G: Metal Mining (Ore Mining and Dressing) |
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1011 |
Iron Ores. |
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1021 |
Copper Ores. |
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1031 |
Lead and Zinc Ores. |
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1041, 1044 |
Gold and Silver Ores. |
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1061 |
Ferroalloy Ores, except Vanadium. |
|
1081 |
Metal Mining Services. |
|
1094, 1099 |
Miscellaneous Metal Ores. |
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Sector H: Coal Mines and Coal Mining Related Facilities |
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1221‑1241 |
Coal Mines and Coal Mining-Related Facilities. |
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Sector J: Mineral Mining and Dressing Facilities (SIC Codes 1411‑1499 are not authorized under this permit) |
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Sector K: Hazardous Waste Treatment, Storage, or Disposal Facilities |
||
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HZ |
Hazardous Waste Treatment Storage or Disposal. |
Sector L: Landfills and Land Application Sites |
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LF |
Landfills, Land Application Sites, and Open Dumps. |
Sector M: Automobile Salvage Yards |
||
|
5015 |
Automobile Salvage Yards. |
Sector N: Scrap Recycling Facilities |
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|
5093 |
Scrap Recycling Facilities. |
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4499 (limited to list) |
Dismantling Ships, Marine Salvaging, and Marine Wrecking - Ships for Scrap. |
Sector O: Steam Electric Generating Facilities |
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SE |
Steam Electric Generating Facilities. |
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Sector Q: Water Transportation and Ship and Boat Building or Repairing Yards. |
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4412‑4499 (except 4499 facilities as specified in Sector N) |
Water Transportation. |
|
3731, 3732 |
Ship and Boat Building or Repairing Yards. |
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Sector U: Food and Kindred Products |
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2021‑2026 |
Dairy Products. |
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2041‑2048 |
Grain Mill Products. |
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2074‑2079 |
Fats and Oils. |
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Sector Y: Rubber, Miscellaneous Plastic Products, and Miscellaneous Manufacturing Industries |
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3011 |
Tires and Inner Tubes. |
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3021 |
Rubber and Plastics Footwear. |
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3052, 3053 |
Gaskets, Packing, and Sealing Devices and Rubber and Plastics Hose and Belting. |
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3061, 3069 |
Fabricated Rubber Products, Not Elsewhere Classified. |
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Sector AA: Fabricated Metal Products |
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|
3411‑3499 |
Fabricated Metal Products, except Machinery and Transportation Equipment. |
|
3911‑3915 |
Jewelry, Silverware, and Plated Ware. |
Sector AB: |
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|
3511-3599 |
Industrial and Commercial Machinery (except Computer and Office Equipment). |
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Sector AD: Nonclassified Facilities/Stormwater Discharges Designated by the Board as Requiring Permits |
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N/A |
Stormwater Discharges Designated by the Board for Permitting under the Provisions of 9VAC25-31-120 A 1, or under 9VAC25-31-120 A 7 a (1) or (2) of the VPDES Permit Regulation.
|
Sector AE: Facilities with No Analytical Benchmark Monitoring Requirements |
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|
2611 |
Pulp Mills. |
|
2621 |
Paper Mills. |
|
2652‑2657 |
Paperboard Containers and Boxes. |
|
2671‑2679 |
Converted Paper and Paperboard Products, except Containers and Boxes. |
|
2833‑2836 |
Medicinal Chemicals and Botanical Products; Pharmaceutical Preparations; In Vitro and In Vivo Diagnostic Substances; Biological Products, except Diagnostic Substances. |
|
2851 |
Paints, Varnishes, Lacquers, Enamels, and Allied Products. |
|
2861‑2869 |
Industrial Organic Chemicals. |
|
2891‑2899 |
Miscellaneous Chemical Products. |
|
3952 (limited to list) |
Inks and Paints, Including China Painting Enamels, India Ink, Drawing Ink, Platinum Paints for Burnt Wood or Leather Work, Paints for China Painting, Artist's paints, and Artist's Watercolors. |
|
2992, 2999 |
Miscellaneous Products of Petroleum and Coal. |
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3211 |
Flat Glass. |
|
3221, 3229 |
Glass and Glassware, Pressed or Blown. |
|
3231 |
Glass Products Made of Purchased Glass. |
|
3241 |
Hydraulic Cement. |
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3281 |
Cut Stone and Stone Products. |
|
3291‑3299 |
Abrasive, Asbestos, and Miscellaneous Nonmetallic Mineral Products. |
|
3331-3339 |
Primary Smelting and Refining of Nonferrous Metals. |
|
3398, 3399 |
Miscellaneous Primary Metal Products. |
|
3341 |
Secondary Smelting and refining of Nonferrous Metals. |
|
1311 |
Crude Petroleum and Natural Gas. |
|
1321 |
Natural Gas Liquids. |
|
1381‑1389 |
Oil and Gas Field Services. |
|
2911 |
Petroleum Refineries. |
|
4512‑4581 |
Air Transportation Facilities. |
|
TW |
Treatment Works. |
|
2011‑2015 |
Meat Products. |
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2032‑2038 |
Canned, Frozen, and Preserved Fruits, Vegetables, and Food Specialties. |
|
2051‑2053 |
Bakery Products. |
|
2061‑2068 |
Sugar and Confectionary Products. |
|
2082‑2087 |
Beverages. |
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2091‑2099 |
Miscellaneous Food Preparations Kindred Products. |
|
2111‑2141 |
Tobacco Products. |
|
2211‑2299 |
Textile Mill Products. |
|
2311‑2399 |
Apparel and Other Finished Products Made from Fabrics and Similar Materials. |
|
3131‑3199 (except 3111‑Z) |
Leather and Leather Products, except Leather Tanning and Finishing. |
|
2434 |
Wood Kitchen Cabinets. |
|
2511‑2599 |
Furniture and Fixtures. |
|
2711‑2796 |
Printing, Publishing, and Allied Products. |
|
3081‑3089 |
Miscellaneous Plastics Products. |
|
3931 |
Musical Instruments. |
|
3942‑3949 |
Dolls, Toys, Games, and Sporting and Athletic Goods. |
|
3951‑3955 (except 3952 facilities as specified in Sector C) |
Pens, Pencils, and Other Artist's Materials. |
|
3961, 3965 |
Costume Jewelry, Costume Novelties, Buttons, and Miscellaneous Notions, except Precious Metal. |
|
3991‑3999 |
Miscellaneous Manufacturing Industries. |
|
3111 |
Leather Tanning, Currying, and Finishing. |
|
3711‑3799 (except 3731, 3732 see Sector Q) |
Transportation Equipment, except Ship and Boat Building and Repairing. |
|
3571‑3579 |
Computer and Office Equipment. |
|
3612‑3699 |
Electronic and Other Electrical Equipment and Components, except Computer Equipment. |
|
3812‑3873 |
Measuring, Analyzing, and Controlling Instruments; Photographic, Medical, and Optical Goods; Watches and Clocks. |
Sector AF: Facilities Limited to Total Suspended Solids Benchmark Monitoring Requirements |
||
|
2411 |
Log Storage and Handling (wet deck storage areas are only authorized if no chemical additives are used in the spray water or applied to the logs). |
|
2421 |
General Sawmills and Planing Mills. |
|
2426 |
Hardwood Dimension and Flooring Mills. |
|
2429 |
Special Products Sawmills Not Elsewhere Classified. |
|
2431‑2433, 2435-2439 |
Millwork, Veneer, Plywood, and Structural Wood. |
|
2441, 2448, 2449 |
Wood Containers. |
|
2451, 2452 |
Wood Buildings and Mobile Homes. |
|
2493 |
Reconstituted Wood Products. |
|
4011, 4013 |
Railroad Transportation. |
|
4111‑4173 |
Local and Highway Passenger Transportation. |
|
4212‑4231 |
Motor Freight Transportation and Warehousing. |
|
4311 |
United State Postal Service. |
|
5171 |
Petroleum Bulk Stations and Terminals. |
D. Conditional exclusion for no exposure. Any owner covered by this permit who becomes eligible for a no exposure exclusion from permitting under 9VAC25-31-120 E may file a no exposure certification. Upon submission and acceptance by the board of a complete and accurate no exposure certification, the permit requirements no longer apply, and the owner is not required to submit a notice of termination. A no exposure certification must be submitted to the board once every five years.
E. Compliance with this general permit constitutes compliance with the federal Clean Water Act and the State Water Control Law, with the exceptions stated in 9VAC25-31-60 of the VPDES Permit Regulation. Approval for coverage under this general permit does not relieve any owner of the responsibility to comply with any other applicable federal, state, or local statute, ordinance, or regulation.
F. Continuation of permit coverage.
1. Any owner that was authorized to discharge under the
industrial activity stormwater general permit issued in 2009 and that submits a
complete registration statement before July 1, 2014, is authorized to continue
to discharge under the terms of the 2009 general permit until such time as the
board either Permit coverage shall expire at the end of its term.
However, expiring permit coverages are automatically continued if the owner has
submitted a complete registration statement at least 60 days prior to the
expiration date of the permit or a later submittal date established by the
board, which cannot extend beyond the expiration date of the original permit.
The permittee is authorized to continue to discharge until such time as the
board either:
a. Issues coverage to the owner under this general permit; or
b. Notifies the owner that the discharge is not eligible for coverage under this general permit.
2. When the owner that was covered under the expiring or expired general permit has violated or is violating the conditions of that permit, the board may choose to do any or all of the following:
a. Initiate enforcement action based upon the 2009
general permit coverage that has been continued;
b. Issue a notice of intent to deny coverage under the reissued
amended general permit. If the general permit coverage is denied, the
owner would then be required to cease the discharges authorized by administratively
the continued general permit coverage under the terms of the
2009 general permit or be subject to enforcement action for discharging
without a permit;
c. Issue an individual permit with appropriate conditions; or
d. Take other actions authorized by the VPDES Permit Regulation (9VAC25-31).
9VAC25-151-60. Registration statement and Stormwater
Pollution Prevention Plan stormwater pollution prevention plan
(SWPPP).
A. An owner seeking coverage under this general permit shall submit
a complete VPDES general permit registration statement in accordance with this
section, which shall serve as a notice of intent for coverage under the VPDES
general VPDES permit for discharges of stormwater associated with
industrial activity.
Any owner that was authorized to discharge under the
industrial stormwater general permit that became effective on July 1, 2009
2014, and that intends to continue coverage under this general permit
shall review and update the Stormwater Pollution Prevention Plan stormwater
pollution prevention plan (SWPPP) to meet all provisions of the general
permit (9VAC25-151-70 et seq.) within 90 days of the board granting coverage
under this permit. Owners of new facilities, facilities previously covered by
an expiring individual permit, and existing facilities not currently covered by
a VPDES permit who wish to obtain coverage under this general permit shall
prepare and implement a written SWPPP for the facility in accordance with the
general permit (9VAC25-151-70 et seq.) prior to submitting the registration
statement.
B. Deadlines for submitting registration statements.
1. Existing facilities.
a. Any owner that was authorized to discharge under the
industrial stormwater general permit that became effective on July 1, 2009
2014, and that intends to continue coverage under this general permit
shall submit a complete registration statement to the board on or before May 2,
2014 2019.
b. Any owner covered by an a VPDES individual VPDES
permit for stormwater discharges associated with industrial activity that is
proposing to be covered under this general permit shall submit a complete
registration statement at least 240 days prior to the expiration date of the VPDES
individual VPDES permit.
c. Any owner of an existing facility with stormwater discharges associated with industrial activity, not currently covered by a VPDES permit, that is proposing to be covered under this general permit shall submit a complete registration statement to the board.
2. New facilities. Any owner proposing a new discharge of stormwater associated with industrial activity shall submit a complete registration statement at least 60 days prior to the date planned for the commencement of the industrial activity at the facility.
3. New owners of existing facilities. Where the owner of an existing facility that is covered by this permit changes, the new owner of the facility shall submit a complete registration statement within 30 days of the ownership change.
4. Late registration statements. Registration statements for
existing facilities covered under subdivision 1 a of this subsection will be
accepted after June 30, 2014 2019, but authorization to discharge
will not be retroactive. Owners described in subdivision 1 a of this subsection
that submit registration statements after May 2, 2014 2019, are
authorized to discharge under the provisions of 9VAC25-151-50 F (Continuation
of permit coverage) if a complete registration statement is submitted before
July 1, 2014 2019.
C. The required registration statement shall contain the following information:
1. Name, mailing address, email address (where available),
and telephone number of the:
a. Facility owner; and
b. Operator applying for permit coverage (if different than
the facility owner);
1. Facility name and mailing address, owner name and mailing address, telephone number, and email address.
2. Facility name, street address, county (or city), contact
name, email address (where available), phone number, and FAX number (where
available) Facility street address (if different from mailing address)
or location (if the facility location does not have a mailing address);
3. Facility operator (local contact) name, address, telephone number, and email address (if available) if different than owner;
3. 4. The nature of the business conducted at
the facility to be covered under this general permit;
4. 5. The receiving waters of the industrial
activity discharges;
5. Whether the facility discharges, or will discharge, to an
MS4. If so, provide the name of the MS4 owner. (Note: Permit special condition
13 requires the permittee to notify the MS4 owner in writing of the existence
of the discharge within 30 days of coverage under this permit. The notification
shall include the following information: the name of the facility, a contact
person and phone number, the location of the discharge, the nature of the
discharge, and the facility's VPDES general permit registration number) 6.
A determination of whether the facility will discharge to an MS4. If the
facility discharges to an MS4, the facility owner must notify the owner of the
MS4 of the existence of the discharge information at the time of registration
under this permit and include that notification with the registration
statement. The notice shall include the following information: the name of the
facility, a contact person and telephone number, the location of the discharge,
the nature of the discharge, and the facility's VPDES general permit number;
6. 7. The permit number for any existing VPDES
permit assigned to the facility;
7. Whether an 8. Indicate that a SWPPP has been
prepared prior to submitting this registration statement by the owner of a new
facility, a facility previously covered by an expiring individual permit, or an
existing facility not currently covered by a VPDES permit;
8. 9. Whether or not this facility will discharge
stormwater runoff from coal storage piles;
9. 10. Identification of up to four 4-digit
four-digit Standard Industrial Classification (SIC) Codes or 2-letter
Industrial Activity Codes that best represent the principal products or
services rendered by the facility and major colocated industrial activities
(2-letter Industrial Activity Codes are: HZ hazardous waste treatment,
storage, or disposal facilities; LF landfills and disposal facilities that
receive or have received any industrial wastes; SE steam electric power
generating facilities; or TW treatment works treating domestic sewage);
10. 11. Identification of all applicable industrial
sectors in this permit (as designated in Table 50‑2) that cover the
industrial activities at the facility, and major colocated industrial
activities to be covered under this permit, and the stormwater outfalls
associated with each industrial sector.
a. If the facility is a landfill (sector L), indicate the type of landfill (i.e., MSWLF (municipal solid waste landfill), CDD (construction debris and demolition), or other), and which outfalls (if any) receive contaminated stormwater runoff;
b. If the facility is a timber products operation (sector A), indicate which outfalls (if any) receive discharges from wet decking areas;
c. For all facilities, indicate which any
outfalls (if any) receive receiving discharges from coal storage
piles;
d. If the facility manufactures asphalt paving and roofing
materials (sector D), indicate which outfalls (if any) receive discharges from
areas where production of asphalt paving and emulsions or roofing
emulsions occurs;
e. If the facility manufactures cement (sector E), indicate which outfalls (if any) receive discharges from material storage piles;
f. If a scrap recycling and waste recycling facility (sector N - SIC 5093) only receives source-separated recyclable materials, indicate which outfalls (if any) receive discharges from this activity. List the metals (if any) that are received; or
g. For primary airports (sector S), list the average
deicing season and indicate which outfalls (if any) receive discharges from
deicing of non-propeller aircraft, and the annual average departures of
non-propeller aircraft. It should be noted that airport facilities subject
to the effluent limitation guidelines in 40 CFR Part 449 are not authorized
under this permit;
11. Facility 12. List the following facility area
information. List the total area of the facility (in acres), the area of
industrial activity at the facility (in acres), the total impervious area of
the industrial activity at the facility (in acres), and the area (in acres)
draining to each industrial activity outfall at the facility. Outfalls shall be
numbered using a unique numerical identification code for each outfall (e.g.,
Outfall No. 001, No. 002, etc.);:
a. The total area of the facility in acres;
b. The total area of industrial activity of the facility in acres;
c. The total impervious surface area of the industrial activity of the facility in acres; and
d. The impervious and total areas in acres draining to each industrial activity outfall at the facility. Outfalls shall be numbered using a unique numerical identification code for each outfall. For example: Outfall Number 001, Outfall Number 002, etc.;
12. The following maps 13. A site map depicting the
following shall be included with the registration statement:
a. General location map. A USGS 7.5 minute topographic map,
or other equivalent computer generated map, with sufficient resolution to
clearly show the location of the facility and the surrounding locale; and The
property boundaries;
b. Site map. A map showing the property boundaries, the location
of all industrial activity areas, all stormwater outfalls, and all water bodies
receiving stormwater discharges from the site. Outfall numbering shall be the
same as that used for the facility area information in subdivision 11 of this
subsection; All industrial activity outfalls labeled with unique
numerical identification for each outfall. Outfall numbering shall be the same
as that used for the facility area information in subdivision 12 of this
subsection; and
c. All water bodies or MS4 conveyances, labeled with names if applicable, receiving stormwater discharges from the site;
13. 14. Virginia's Phase I Chesapeake Bay TMDL
Watershed Implementation Plan (November 29, 2010) states that wasteloads for
future growth for new facilities in the Chesapeake Bay watershed with
industrial stormwater discharges cannot exceed the nutrient and sediment
loadings that were discharged prior to the land being developed for the
industrial activity. For purposes of this permit regulation, facilities that
commence construction after June 30, 2014 2019, must be
consistent with this requirement to be eligible for coverage under this general
permit.
If this is a new facility that commenced construction after
June 30, 2014 2019, in the Chesapeake Bay watershed, and applying
for first time general permit coverage, attach documentation to the
registration statement to show demonstrate:
a. That the total phosphorus load does not exceed the greater
of: (i) the total phosphorus load that was discharged from the
industrial area of the property prior to the land being developed for the new
industrial activity, or (ii) 0.41 pounds per acre per year (VSMP water
quality design criteria). The documentation must include the measures and
controls that were employed to meet this requirement, along with the supporting
calculations. The owner may include additional nonindustrial land on the site
as part of any plan to comply with the no net increase requirement. Consistent
with the definition of "site," this includes adjacent land used in
connection with the facility. Compliance with the water quality design criteria
may be determined utilizing the Virginia Runoff Reduction Method or another
equivalent methodology approved by the board. Design specifications and
pollutant removal efficiencies for specific BMPs can be found on the Virginia
Stormwater BMP Clearinghouse website at http://www.vwrrc.vt.edu/swc; or
b. The owner may consider utilization of any pollutant trading or offset program in accordance with §§ 62.1-44.19:20 through 62.1-44.19:23 of the Code of Virginia, governing trading and offsetting, to meet the no net increase requirement;
15. State Corporation Commission entity identification number if the facility is required to obtain an entity identification number by law; and
14. 16. The following certification: "I
certify under penalty of law that this document and all attachments were
prepared under my direction or supervision in accordance with a system designed
to assure that qualified personnel properly gather and evaluate the information
submitted. Based on my inquiry of the person or persons who manage the system,
or those persons directly responsible for gathering the information, the
information submitted is, to the best of my knowledge and belief, true,
accurate, and complete. I am aware that there are significant penalties for
submitting false information, including the possibility of fine and
imprisonment for knowing violations."
D. The registration statement shall be signed in accordance
with 9VAC25-31-110 A of the VPDES Permit Regulation.
E. Where to submit. The registration statement may be delivered to the department by either postal or electronic mail and shall be submitted to the DEQ regional office serving the area where the industrial facility is located.
9VAC25-151-70. General permit.
Any owner whose registration statement is accepted by the
director will receive the following general permit and shall comply with the
requirements therein and be subject to the VPDES Permit Regulation, 9VAC25-31. Facilities
with colocated industrial activities shall comply with all applicable
monitoring and pollution prevention plan SWPPP requirements of
each industrial activity sector of this chapter in which a colocated industrial
activity is described. All pages of 9VAC25-151-70 and 9VAC25-151-80 apply to
all stormwater discharges associated with industrial activity covered under
this general permit. Not all pages of 9VAC25-151-90 et seq. will apply to every
permittee. The determination of which pages apply will be based on an
evaluation of the regulated activities located at the facility.
General Permit No.: VAR05
Effective Date: July 1, 2014 2019
Expiration Date: June 30, 2019 2024
GENERAL PERMIT FOR STORMWATER DISCHARGES ASSOCIATED WITH INDUSTRIAL ACTIVITY
AUTHORIZATION TO DISCHARGE UNDER THE VIRGINIA POLLUTANT DISCHARGE ELIMINATION
SYSTEM AND THE VIRGINIA STATE WATER CONTROL LAW
In compliance with the provisions of the Clean Water Act, as amended, and pursuant to the State Water Control Law and regulations adopted pursuant thereto, owners of facilities with stormwater discharges associated with industrial activity are authorized to discharge to surface waters within the boundaries of the Commonwealth of Virginia, except those waters specifically named in board regulation that prohibit such discharges.
The authorized discharge shall be in accordance with this
cover page, the registration statement, Part I-Effluent Limitations,
Monitoring Requirements and Special Conditions, Part II-Conditions Applicable
to All VPDES Permits, Part III-Stormwater Pollution Prevention Plan, and Part
IV-Sector-Specific Permit Requirements, as set forth herein in this
general permit.
Part I
Effluent Limitations, Monitoring Requirements and Special Conditions
A. Effluent limitations and monitoring requirements.
There are four individual and separate categories of monitoring requirements that a facility may be subject to under this permit: (i) quarterly visual monitoring; (ii) benchmark monitoring of discharges associated with specific industrial activities; (iii) compliance monitoring for discharges subject to numerical effluent limitations; and (iv) monitoring of discharges to impaired waters, both those with an approved TMDL and those without an approved TMDL. The monitoring requirements and numeric effluent limitations applicable to a facility depend on the types of industrial activities generating stormwater runoff from the facility, and for TMDL monitoring, the location of the facility's discharge or discharges. Part IV of the permit (9VAC25-151-90 et seq.) identifies monitoring requirements applicable to specific sectors of industrial activity. The permittee shall review Part I A 1 and Part IV of the permit to determine which monitoring requirements and numeric limitations apply to his facility. Unless otherwise specified, limitations and monitoring requirements under Part I A 1 and Part IV are additive.
Sector-specific monitoring requirements and limitations are
applied discharge by discharge at facilities with colocated activities. Where
stormwater from the colocated activities are commingled, the monitoring
requirements and limitations are additive. Where more than one numeric
limitation for a specific parameter applies to a discharge, compliance with the
more restrictive limitation is required. Where benchmark, numerical effluent
limitations, or TMDL monitoring requirements for a monitoring period
overlap (e.g., need to monitor TSS twice per year for a limit and also twice
per year for benchmark monitoring), the permittee may use a single sample
to satisfy both monitoring requirements.
1. Types of monitoring requirements and limitations.
a. Quarterly visual monitoring. The requirements and procedures for quarterly visual monitoring are applicable to all facilities covered under this permit, regardless of the facility's sector of industrial activity.
(1) The permittee shall perform and document a quarterly
visual examination of a stormwater discharge associated with industrial
activity from each outfall, except discharges exempted in Part I A 3 or Part I
A 4. The examination(s) examinations shall be made at least once
in each of the following three-month periods: January through March, April
through June, July through September, and October through December. The visual
examination shall be made during normal working hours, where practicable, and
when considerations for safety and feasibility allow. If no storm event
resulted in runoff from the facility during a monitoring quarter, the permittee
is excused from visual monitoring for that quarter provided that documentation
is included with the monitoring records indicating that no runoff occurred. The
documentation shall be signed and certified in accordance with Part II K of
this permit.
(2) Samples shall be collected in accordance with Part I A 2. The
Sample examination shall document observations of color, odor, clarity,
floating solids, settled solids, suspended solids, foam, oil sheen, and other
obvious indicators of stormwater pollution. The visual examination of
the sample shall be conducted in a well-lit area. No analytical tests are
required to be performed on the samples.
(3) The visual examination reports shall be maintained on-site
with the Stormwater Pollution Prevention Plan (SWPPP) SWPPP. The
report shall include the outfall location, the examination date and time,
examination personnel, the nature of the discharge (i.e., runoff or snow melt),
visual quality of the stormwater discharge (including observations of color,
odor, clarity, floating solids, settled solids, suspended solids, foam, oil
sheen, and other obvious indicators of stormwater pollution), and probable
sources of any observed stormwater contamination.
b. Benchmark monitoring of discharges associated with specific industrial activities.
Table 70-1 identifies the specific industrial sectors subject to the benchmark monitoring requirements of this permit and the industry-specific pollutants of concern. The permittee shall refer to the tables found in the individual sectors in Part IV (9VAC25-151-90 et seq.) for benchmark monitoring concentration values. Colocated industrial activities at the facility that are described in more than one sector in Part IV shall comply with all applicable benchmark monitoring requirements from each sector.
The results of benchmark monitoring are primarily for the
permittee to use to determine the overall effectiveness of the SWPPP in
controlling the discharge of pollutants to receiving waters. Benchmark
concentration values, included in Part IV of this permit, are not effluent limitations.
Exceedance of a benchmark concentration does not constitute a violation of this
permit and does not indicate that violation of a water quality standard has
occurred; however, it does signal that modifications to the SWPPP are
necessary, unless justification is provided in the comprehensive site
compliance evaluation (Part III E) a routine facility inspection. In
addition, exceedance of benchmark concentrations may identify facilities that
would be more appropriately covered under an individual, or alternative general
permit where more specific pollution prevention controls could be required.
TABLE 70-1 |
||
Industry Sector1 |
|
Benchmark Monitoring Parameters |
A |
|
|
|
Arsenic, Chromium, Copper. |
|
|
|
|
|
|
|
|
|
|
|
BOD, TSS, COD, Aluminum, Arsenic, Cadmium, Chromium, Copper,
Iron, |
|
B |
|
BOD. |
C |
|
Aluminum, Iron, Total N. |
|
Zinc. |
|
|
Total N, Zinc. |
|
|
Total N, Iron, Zinc, Total P. |
|
|
TSS, BOD, COD, Ammonia, Total N, Total P. |
|
|
|
|
E |
|
Aluminum. |
|
TSS, pH, Iron. |
|
F |
|
Aluminum, Zinc. |
|
Aluminum, TSS, Copper, Iron, Zinc. |
|
|
Copper, Zinc. |
|
|
Copper, Zinc. |
|
G2 |
|
TSS. |
H |
|
TSS, Aluminum, Iron. |
K |
|
TKN, TSS, TOC, Arsenic, Cadmium, Cyanide, Lead, Magnesium, Mercury, Selenium, Silver. |
L |
|
TSS. |
M |
|
TSS, Aluminum, Iron, Lead. |
N |
|
Copper, Aluminum, Iron, Lead, Zinc, TSS, Cadmium, Chromium. |
|
Aluminum, Cadmium, Chromium, Copper, Iron, Lead, Zinc, TSS. |
|
O |
|
Iron. |
|
|
|
Q |
|
TSS, Copper, Zinc. |
3731, 3732 |
TSS, Copper, Zinc. |
|
|
|
|
|
|
|
U |
|
BOD, TSS. |
|
TSS, TKN. |
|
|
BOD, Total N, TSS. |
|
Y |
|
Zinc. |
|
|
|
AA |
|
Iron, Aluminum, Copper, Zinc. |
|
Zinc. |
|
AB |
|
TSS, TPH, Copper, Zinc. |
AD |
Nonclassified Facilities/Stormwater Discharges Designated by the Board as Requiring Permits |
|
AE |
2611, 2621, 2652-2657, 2671-2679, 2833-2836, 2851, 2861‑2869, 2891‑2899, 3952, 2992, 2999, 3211, 3221, 3229, 3231, 3241, 3281, 3291‑3299, 3331‑3339, 3398, 3399, 3341, 1311, 1321, 1381‑1389, 2911, 4512‑4581, (TW) Treatment Works, 2011‑2015, 2032‑2038, 2051‑2053, 2061‑2068, 2082-2087, 2091‑2099, 2111‑2141, 2211‑2299, 2311‑2399, 3131‑3199, 2434, 2511‑2599, 2711‑2796, 3081‑3089, 3931, 3942‑3949, 3951‑3955 (except 3952 facilities as specified in Sector C), 3961, 3965, 3991‑3999, 3111, 3711‑3799 (except 3731, 3732 see Sector Q), 3571‑3579, 3612‑3699, 3812‑3873 |
Facilities in Sector AE are not subject to benchmark monitoring requirements. |
AF |
2411, 2421, 2426, 2429, 2431‑2433, 2435‑2439, 2441, 2448, 2449, 2451, 2452, 2493, 4011, 4013, 4111‑4173, 4212‑4231, 4311, 5171 |
TSS. |
1Table does not include parameters for compliance monitoring under effluent limitations guidelines. |
||
2See Sector G (Part IV G) for additional monitoring discharges from waste rock and overburden piles from active ore mining or dressing facilities, inactive ore mining or dressing facilities, and sites undergoing reclamation. |
||
(1) Benchmark monitoring shall be performed for all benchmark parameters specified for the industrial sector or sectors applicable to a facility's discharge. Monitoring shall be performed at least once during each of the first four, and potentially all, monitoring periods after coverage under the permit begins. Monitoring commences with the first full monitoring period after the owner is granted coverage under the permit. Monitoring periods are specified in Part I A 2.
Depending on the results of four consecutive monitoring
periods, benchmark monitoring may not be required to be conducted in subsequent
monitoring periods (see subdivision Part I A 1 b (2) below).
(2) Benchmark monitoring waivers for facilities testing below benchmark concentration values. Waivers from benchmark monitoring are available to facilities whose discharges are below benchmark concentration values on an outfall by outfall basis. Sector-specific benchmark monitoring is not required to be conducted in subsequent monitoring periods during the term of this permit provided:
(a) Samples were collected in four consecutive monitoring
periods, and the average of the four samples for all parameters at the outfall
is below the applicable benchmark concentration value in Part IV. (Note:
facilities Facilities that were covered under the 2009 2014
industrial stormwater general permit may use sampling data from the last two
monitoring periods of that permit and the first two monitoring periods of this
permit to satisfy the four consecutive monitoring periods requirement); and
(b) The facility is not subject to a numeric effluent
limitation established in Part I A 1 c (1) (Stormwater Effluent Limitations)
(stormwater effluent limitations), Part I A 1 c (2) (Coal Pile
Runoff) (coal pile runoff), or Part IV (Sector Specific Permit
Requirements) for any of the parameters at that outfall; and
(c) A waiver request is submitted to and approved by the board. The waiver request shall be sent to the appropriate DEQ regional office, along with the supporting monitoring data for four consecutive monitoring periods, and a certification that, based on current potential pollutant sources and control measures used, discharges from the facility are reasonably expected to be essentially the same (or cleaner) compared to when the benchmark monitoring for the four consecutive monitoring periods was done.
Waiver requests will be evaluated by the board based upon:
(i) benchmark monitoring results below the benchmark concentration values; (ii)
a favorable compliance history (including inspection results); and (iii) no
outstanding enforcement actions.
The monitoring waiver may be revoked by the board for just
cause. The permittee will be notified in writing that the monitoring waiver is
revoked, and that the benchmark monitoring requirements are again in force and
will remain in effect until the permit's expiration date.
(3) Samples shall be collected and analyzed in accordance with Part I A 2. Monitoring results shall be reported in accordance with Part I A 5 and Part II C and retained in accordance with Part II B.
c. Compliance monitoring for discharges subject to numerical effluent limitations or discharges to impaired waters.
(1) Facilities subject to stormwater effluent limitation guidelines.
(a) Facilities subject to stormwater effluent limitation guidelines (see Table 70-2) are required to monitor such discharges to evaluate compliance with numerical effluent limitations. Industry-specific numerical limitations and compliance monitoring requirements are described in Part IV of the permit (9VAC25-151-90 et seq.). Permittees with colocated industrial activities at the facility that are described in more than one sector in Part IV shall comply on a discharge-by-discharge basis with all applicable effluent limitations from each sector.
(b) Permittees shall monitor the discharges for the presence of the pollutant subject to the effluent limitation at least once during each of the monitoring periods after coverage under the permit begins. Monitoring commences with the first full monitoring period after the owner is granted coverage under the permit. Monitoring periods are specified in Part I A 2. The substantially identical outfall monitoring provisions (Part I A 2 f) are not available for numeric effluent limits monitoring.
(c) Samples shall be collected and analyzed in accordance with Part I A 2. Monitoring results shall be reported in accordance with Part I A 5 and Part II C, and retained in accordance with Part II B.
TABLE 70-2 |
|
Effluent Limitation Guideline |
Sectors with Affected Facilities |
Runoff from material storage piles at cement manufacturing facilities (40 CFR Part 411 Subpart C (established February 20, 1974)) |
E |
Contaminated runoff from phosphate fertilizer manufacturing facilities (40 CFR Part 418 Subpart A (established April 8, 1974)) |
C |
Coal pile runoff at steam electric generating facilities (40 CFR Part 423 (established November 19, 1982)) |
O |
Discharges resulting from spray down or intentional wetting of logs at wet deck storage areas (40 CFR Part 429, Subpart I (established January 26, 1981)) |
A |
Runoff from asphalt emulsion facilities (40 CFR Part 443 Subpart A (established July 24, 1975)) |
D |
Runoff from landfills (40 CFR Part 445, Subpart A and B (established January 19, 2000)) |
K and L |
Discharges from airport deicing operations (40 CFR Part 449 (established May 16, 2012)) |
|
(2) Facilities subject to coal pile runoff monitoring.
(a) Facilities with discharges of stormwater from coal storage piles shall comply with the limitations and monitoring requirements of Table 70-3 for all discharges containing the coal pile runoff, regardless of the facility's sector of industrial activity.
(b) Permittees shall monitor such stormwater discharges at least once during each of the monitoring periods after coverage under the permit begins. Monitoring commences with the first full monitoring period after the owner is granted coverage under the permit. Monitoring periods are specified in Part I A 2. The substantially identical outfall monitoring provisions (Part I A 2 f) are not available for coal pile numeric effluent limits monitoring.
(c) The coal pile runoff shall not be diluted with other stormwater or other flows in order to meet this limitation.
(d) If a facility is designed, constructed and operated to treat the volume of coal pile runoff that is associated with a 10-year, 24-hour rainfall event, any untreated overflow of coal pile runoff from the treatment unit is not subject to the 50 mg/L limitation for total suspended solids.
(e) Samples shall be collected and analyzed in accordance with Part I A 2. Monitoring results shall be reported in accordance with Part I A 5 and Part II C, and retained in accordance with Part II B.
TABLE 70-3 |
|||
Parameter |
Limit |
Monitoring Frequency |
Sample Type |
Total Suspended Solids (TSS) |
50 mg/l, max. |
1/6 months |
Grab |
pH |
6.0 min. - 9.0 max. |
1/6 months |
Grab |
(3) Facilities discharging to an impaired water with an approved TMDL wasteload allocation.
Owners of facilities that are a source of the specified pollutant of concern to waters for which a TMDL wasteload allocation has been approved prior to the term of this permit will be notified as such by the department when they are approved for coverage under the general permit.
(a) Upon written notification from the department, facilities
subject to TMDL wasteload allocations will shall be required to
monitor such discharges to evaluate compliance with the TMDL requirements.
(b) Permittees shall monitor the discharges for the pollutant subject to the TMDL wasteload allocation at least once during each of the monitoring periods after coverage under the permit begins. Monitoring commences with the first full monitoring period after the owner is granted coverage under the permit. Monitoring periods are specified in Part I A 2.
(c) Samples shall be collected and analyzed in accordance with Part I A 2. Monitoring results shall be reported in accordance with Part I A 5 and Part II C, and retained in accordance with Part II B.
(d) If the pollutant subject to the TMDL wasteload allocation is below the quantitation level in all of the samples from the first four monitoring periods (i.e., the first two years of coverage under the permit), the permittee may request to the board in writing that further sampling be discontinued, unless the TMDL has specific instructions to the contrary (in which case those instructions shall be followed). The laboratory certificate of analysis shall be submitted with the request. If approved, documentation of this shall be kept with the SWPPP.
If the pollutant subject to the TMDL wasteload allocation is above the quantitation level in any of the samples from the first four monitoring periods, the permittee shall continue the scheduled TMDL monitoring throughout the term of the permit.
(4) Facilities discharging to an impaired water without an approved TMDL wasteload allocation.
Owners of facilities that discharge to waters listed as
impaired in the 2012 2016 Final 305(b)/303(d) Water Quality
Assessment Integrated Report, and for which a TMDL wasteload allocation has not
been approved prior to the term of this permit, will be notified as such by the
department when they are approved for coverage under the general permit.
(a) Upon written notification from the department, facilities
discharging to an impaired water without an approved TMDL wasteload allocation will
shall be required to monitor such discharges for the pollutant(s)
pollutants that caused the impairment.
(b) Permittees shall monitor the discharges for all pollutants for which the waterbody is impaired, and for which a standard analytical method exists, at least once during each of the monitoring periods after coverage under the permit begins. Monitoring commences with the first full monitoring period after the owner is granted coverage under the permit. Monitoring periods are specified in Part I A 2.
(c) If the pollutant for which the waterbody is impaired is suspended solids, turbidity, or sediment, or sedimentation, monitor for total suspended solids (TSS). If the pollutant for which the waterbody is impaired is expressed in the form of an indicator or surrogate pollutant, monitor for that indicator or surrogate pollutant. No monitoring is required when a waterbody's biological communities are impaired but no pollutant, including indicator or surrogate pollutants, is specified as causing the impairment, or when a waterbody's impairment is related to hydrologic modifications, impaired hydrology, or temperature.
Samples shall be collected and analyzed in accordance with Part I A 2. Monitoring results shall be reported in accordance with Part I A 5 and Part II C, and retained in accordance with Part II B.
(d) If the pollutant for which the water is impaired is below the quantitation level in the discharges from the facility, or it is above the quantitation level but its presence is caused solely by natural background sources, the permittee may request to the board in writing that further impaired water monitoring be discontinued. The laboratory certificate of analysis shall be submitted with the request. If approved, documentation of this shall be kept with the SWPPP.
To support a determination that the pollutant's presence is caused solely by natural background sources, the following documentation shall be submitted with the request and kept with the SWPPP: (i) an explanation of why it is believed that the presence of the impairment pollutant in the facility's discharge is not related to the activities at the facility; and (ii) data or studies that tie the presence of the impairment pollutant in the facility's discharge to natural background sources in the watershed. Natural background pollutants include those substances that are naturally occurring in soils or groundwater. Natural background pollutants do not include legacy pollutants from earlier activity at the facility's site, or pollutants in run-on from neighboring sources that are not naturally occurring.
2. Monitoring instructions.
a. Collection and analysis of samples. Sampling requirements shall be assessed on an outfall by outfall basis. Samples shall be collected and analyzed in accordance with the requirements of Part II A.
b. When and how to sample. A minimum of one grab sample shall
be taken from the discharge associated with industrial activity resulting from
a storm event that results in an actual a discharge from the site
(defined as a "measurable storm event"), providing the interval from
the preceding measurable storm event is at least 72 hours. The 72-hour storm
interval is waived if the permittee is able to document that less than a
72-hour interval is representative for local storm events during the sampling
period. In the case of snowmelt, the monitoring shall be performed at a time
when a measurable discharge occurs at the site. For discharges from a
stormwater management structure, the monitoring shall be performed at a time
when a measurable discharge occurs from the structure.
The grab sample shall be taken during the first 30 minutes of
the discharge. If it is not practicable to take the sample during the first 30
minutes, the sample may be taken during the first three hours of the discharge,
provided that the permittee explains why a grab sample during the first 30
minutes was impracticable. This information shall be submitted on or with
the Discharge Monitoring Report (DMR) in the department's electronic
discharge monitoring report (e-DMR) system, and maintained with the SWPPP.
If the sampled discharge commingles with process or nonprocess water, the
permittee shall attempt to sample the stormwater discharge before it mixes with
the nonstormwater.
c. Storm event data. For each monitoring event (except
snowmelt monitoring), along with the monitoring results, the permittee shall
identify the date and duration (in hours) of the storm event(s) events
sampled; rainfall total (in inches) of the storm event that generated the
sampled runoff; and the duration between the storm event sampled and the end of
the previous measurable storm event. For snowmelt monitoring, the permittee
shall identify the date of the sampling event.
d. Monitoring periods.
(1) Quarterly visual monitoring. The quarterly visual examinations shall be made at least once in each of the following three-month periods each year of permit coverage: January through March, April through June, July through September, and October through December.
(2) Benchmark monitoring, effluent limitation monitoring, and impaired waters monitoring (for waters both with and without an approved TMDL). Monitoring shall be conducted at least once in each of the following semiannual periods each year of permit coverage: January through June, and July through December.
e. Documentation explaining a facility's inability to obtain a
sample (including dates and times the outfalls were viewed or sampling was
attempted), of no rain event, or of no deviation from the
"measurable" storm event requirements shall be maintained with
the SWPPP. Acceptable documentation includes, but is not limited to,
National Climatic Data Center (NCDC) weather station data, local weather
station data, facility rainfall logs, and other appropriate supporting data.
f. Representative outfalls - substantially identical discharges. If the facility has two or more outfalls that discharge substantially identical effluents, based on similarities of the industrial activities, significant materials, size of drainage areas, and stormwater management practices occurring within the drainage areas of the outfalls, frequency of discharges, and stormwater management practices occurring within the drainage areas of the outfalls, the permittee may conduct monitoring on the effluent of just one of the outfalls and report that the observations also apply to the substantially identical outfall or outfalls. The substantially identical outfall monitoring provisions apply to quarterly visual monitoring, benchmark monitoring, and impaired waters monitoring (both those with and without an approved TMDL). The substantially identical outfall monitoring provisions are not available for numeric effluent limits monitoring.
The permittee shall include the following information in the SWPPP:
(1) The locations of the outfalls;
(2) Why the An evaluation, including available
monitoring data, indicating the outfalls are expected to discharge
substantially identical effluents, including evaluation of monitoring data
where available; and
(3) Estimates An estimate of the size of the
drainage area (in square feet) for each of the outfalls of each
outfall's drainage area in acres.
3. Adverse climatic conditions waiver. When adverse weather conditions prevent the collection of samples, a substitute sample may be taken during a qualifying storm event in the next monitoring period. Adverse weather conditions are those that are dangerous or create inaccessibility for personnel, and may include such things as local flooding, high winds, electrical storms, or situations that otherwise make sampling impracticable, such as drought or extended frozen conditions. Unless specifically stated otherwise, this waiver may be applied to any monitoring required under this permit. Narrative documentation of conditions necessitating the use of the waiver shall be kept with the SWPPP.
4. Inactive and unstaffed sites (including temporarily inactive sites).
a. A waiver of the quarterly visual assessments monitoring,
routine facility inspections, and monitoring requirements (including benchmark,
effluent limitation, and impaired waters monitoring) may be granted by the
board at a facility that is both inactive and unstaffed, as long as the
facility remains inactive and unstaffed and there are no industrial materials
or activities exposed to stormwater. The owner of such a facility is only
required to conduct an annual comprehensive routine site
inspection in accordance with the requirements in Part III E B 5.
b. An inactive and unstaffed sites waiver request shall be
submitted to the board for approval and shall include: the name of the
facility; the facility's VPDES general permit registration number; a contact
person, phone number and email address (if available); the reason for
the request; and the date the facility became or will become inactive and unstaffed.
The waiver request shall be signed and certified in accordance with Part II K.
If this waiver is granted, a copy of the request and the board's written
approval of the waiver shall be maintained with the SWPPP.
c. If circumstances change and industrial materials or
activities become exposed to stormwater, or the facility becomes either active
or staffed, the permittee shall notify the department within 30 days, and all
quarterly visual assessments monitoring, routine facility inspections,
and monitoring requirements shall be resumed immediately.
d. The board retains the right to revoke this waiver when it is determined that the discharge is causing, has a reasonable potential to cause, or contributes to a water quality standards violation.
e. Inactive and unstaffed facilities covered under Sector G (Metal Mining) and Sector H (Coal Mines and Coal Mining-Related Facilities) are not required to meet the "no industrial materials or activities exposed to stormwater" standard to be eligible for this waiver, consistent with the conditional exemption requirements established in Part IV Sector G and Part IV Sector H.
5. Reporting monitoring results.
a. Reporting to the department. The permittee shall follow the reporting requirements and deadlines below for the types of monitoring that apply to the facility:
TABLE 70-4 |
|
Semiannual Monitoring |
Submit the results on a DMR by January 10 and by July 10. |
Quarterly Visual Monitoring |
Retain results with SWPPP - do not submit unless requested to do so by the department. |
Permittees shall submit results for each outfall associated
with industrial activity according to the requirements of Part II C. For
each outfall sampled, one signed discharge monitoring report (DMR) form shall
be submitted to the department per storm event sampled. For representative
outfalls, the sampled outfall will be reported on the DMR, and the outfalls
that are representative of the sampled outfall will be listed in the comment
section of the DMR. Signed DMRs are not required for each of the outfalls that
are representative of the sampled outfall.
b. Additional reporting. In addition to submitting copies
of discharge monitoring reports in accordance with Part II C, permittees with
at least one stormwater discharge associated with industrial activity through a
regulated municipal separate storm sewer system (MS4) shall submit signed
copies of DMRs to the MS4 operator at the same time as the reports are
submitted to the department. Permittees not required to report monitoring data
and permittees that are not otherwise required to monitor their discharges need
not comply with this provision.
c. b. Significant digits. The permittee shall
report at least the same number of significant digits as a numeric effluent
limitation or TMDL wasteload allocation for a given parameter; otherwise, at
least two significant digits shall be reported for a given parameter.
Regardless of the rounding convention used by the permittee (i.e., five always
rounding up or to the nearest even number), the permittee shall use the
convention consistently and shall ensure that consulting laboratories employed
by the permittee use the same convention.
6. Corrective actions.
a. Data exceeding benchmarks concentration values.
(1) If the benchmark monitoring result exceeds the benchmark
concentration value for that parameter, the permittee shall review the SWPPP
and modify it as necessary to address any deficiencies that caused the
exceedance. Revisions to the SWPPP shall be completed within 30 60
days after an exceedance is discovered. When control measures need to be
modified or added (distinct from regular preventive maintenance of existing
control measures described in Part III C), implementation shall be completed
before the next anticipated storm event if possible, but no later than 60 days
after the exceedance is discovered, or as otherwise provided or approved by the
department. In cases where construction is necessary to implement control
measures, the permittee shall include a schedule in the SWPPP that provides for
the completion of the control measures as expeditiously as practicable, but no
later than three years after the exceedance is discovered. Where a construction
compliance schedule is included in the SWPPP, the plan SWPPP
shall include appropriate nonstructural and temporary controls to be
implemented in the affected portion(s) portions of the facility
prior to completion of the permanent control measure. Any control measure
modifications shall be documented and dated, and retained with the SWPPP, along
with the amount of time taken to modify the applicable control measures or
implement additional control measures.
(2) Natural background pollutant levels. If the concentration of a pollutant exceeds a benchmark concentration value, and the permittee determines that exceedance of the benchmark is attributable solely to the presence of that pollutant in the natural background, corrective action is not required provided that:
(a) The concentration of the benchmark monitoring result is less than or equal to the concentration of that pollutant in the natural background;
(b) The permittee documents and maintains with the SWPPP the supporting rationale for concluding that benchmark exceedances are in fact attributable solely to natural background pollutant levels. The supporting rationale shall include any data previously collected by the facility or others (including literature studies) that describe the levels of natural background pollutants in the facility's stormwater discharges; and
(c) The permittee notifies the department on the benchmark monitoring DMR that the benchmark exceedances are attributable solely to natural background pollutant levels.
Natural background pollutants include those substances that are naturally occurring in soils or groundwater. Natural background pollutants do not include legacy pollutants from earlier activity on the facility's site, or pollutants in run-on from neighboring sources that are not naturally occurring.
b. Corrective actions. The permittee shall take corrective action whenever:
(1) Routine facility inspections, comprehensive site
compliance evaluations, inspections by local, state or federal officials,
or any other process, observation or event result in a determination that
modifications to the stormwater control measures are necessary to meet the
permit requirements;
(2) There is any exceedance of an effluent limitation (including coal pile runoff), TMDL wasteload allocation, or a reduction required by a local ordinance established by a municipality to meet Chesapeake Bay TMDL requirements; or
(3) The department determines, or the permittee becomes aware, that the stormwater control measures are not stringent enough for the discharge to meet applicable water quality standards.
The permittee shall review the SWPPP and modify it as
necessary to address any deficiencies. Revisions to the SWPPP shall be
completed within 30 60 days following the discovery of the
deficiency. When control measures need to be modified or added (distinct from
regular preventive maintenance of existing control measures described in Part
III C), implementation shall be completed before the next anticipated storm
event if possible, but no later than 60 days after the deficiency is
discovered, or as otherwise provided or approved by the department. In cases
where construction is necessary to implement control measures, the permittee
shall include a schedule in the SWPPP that provides for the completion of the control
measures as expeditiously as practicable, but no later than three years after
the deficiency is discovered. Where a construction compliance schedule is
included in the SWPPP, the plan SWPPP shall include appropriate
nonstructural and temporary controls to be implemented in the affected portion(s)
portion of the facility prior to completion of the permanent control
measure. The amount of time taken to modify a control measure or implement
additional control measures shall be documented in the SWPPP.
Any corrective actions taken shall be documented and retained with the SWPPP. Reports of corrective actions shall be signed in accordance with Part II K.
c. Follow-up reporting. If at any time monitoring results
indicate that discharges from the facility exceed an effluent limitation or a
TMDL wasteload allocation, or the department determines that discharges from
the facility are causing or contributing to an exceedance of a water quality
standard, immediate steps shall be taken to eliminate the exceedances in
accordance with the above Part I A 6 b (Corrective actions). Within 30 calendar
days of implementing the relevant corrective action(s) action, an
exceedance report shall be submitted to the department. The following
information shall be included in the report: general permit registration
number; facility name, address, and location; receiving water; monitoring data
from this event; an explanation of the situation; description of what has been
done and the intended actions (should the corrective actions not yet be
complete) to further reduce pollutants in the discharge; and an appropriate
contact name and phone number.
(1) General permit registration number;
(2) Facility name and address;
(3) Receiving water for each outfall exceeding an effluent limitation of TMDL wasteload allocation;
(4) Monitoring data from the event being reported;
(5) A narrative description of the situation;
(6) A description of actions taken since the event was discovered and steps taken to minimize to the extent feasible pollutants in the discharge; and
(7) A local facility contact name, email address, and phone number.
B. Special conditions.
1. Allowable Authorized nonstormwater discharges.
Except as provided in this section or in Part IV (9VAC25-151-90 et seq.), all
discharges covered by this permit shall be composed entirely of stormwater. The
following nonstormwater discharges are authorized by this permit:
a. Discharges from emergency firefighting activities;
b. Fire hydrant flushings, managed in a manner to avoid an instream impact;
c. Potable water, including water line flushings, managed in a manner to avoid an instream impact;
d. Uncontaminated condensate from air conditioners, coolers, and other compressors and from the outside storage of refrigerated gases or liquids;
e. Irrigation drainage;
f. Landscape watering provided all pesticides, herbicides, and fertilizer have been applied in accordance with the approved labeling;
g. Routine external building washdown that does not use detergents or hazardous cleaning products;
h. Pavement wash waters where no detergents or hazardous cleaning products are used and no spills or leaks of toxic or hazardous materials have occurred (unless all spilled material has been removed). Pavement wash waters shall be managed in a manner to avoid an instream impact;
i. Uncontaminated ground water or spring water;
j. Foundation or footing drains where flows are not contaminated with process materials; and
k. Incidental windblown mist from cooling towers that collects on rooftops or adjacent portions of the facility, but not intentional discharges from the cooling tower (e.g., "piped" cooling tower blowdown or drains).
All other nonstormwater discharges are not authorized and shall either be eliminated or covered under a separate VPDES permit.
The following nonstormwater discharges are specifically not
authorized by this permit:
Sector A - Timber products. Discharges of stormwater from
areas where there may be contact with chemical formulations sprayed to provide
surface protection.
Sector C - Chemical and allied products manufacturing. Inks,
paints, or substances (hazardous, nonhazardous, etc.) resulting from an on-site
spill, including materials collected in drip pans; washwaters from material
handling and processing areas; or washwaters from drum, tank, or container
rinsing and cleaning.
Sector G - Metal mining (ore mining and dressing). Adit
drainage or contaminated springs or seeps; and contaminated seeps and springs
discharging from waste rock dumps that do not directly result from
precipitation events.
Sector H - Coal mines and coal mining-related facilities.
Discharges from pollutant seeps or underground drainage from inactive coal
mines and refuse disposal areas that do not result from precipitation events;
and discharges from floor drains in maintenance buildings and other similar
drains in mining and preparation plant areas.
Sector I - Oil and gas extraction and refining. Discharges
of vehicle and equipment washwater, including tank cleaning operations.
Sector K - Hazardous waste treatment, storage, or disposal
facilities. Leachate, gas collection condensate, drained free liquids,
contaminated ground water, laboratory-derived wastewater and contact washwater
from washing truck, equipment, and railcar exteriors and surface areas that
have come in direct contact with solid waste at the landfill facility.
Sector L - Landfills, land application sites and open dumps.
Leachate, gas collection condensate, drained free liquids, contaminated ground
water, laboratory wastewater, and contact washwater from washing truck,
equipment, and railcar exteriors and surface areas that have come in direct
contact with solid waste at the landfill facility.
Sector N - Scrap recycling and waste recycling facilities.
Discharges from turnings containment areas in the absence of a storm event.
Sector O - Steam electric generating facilities.
Nonstormwater discharges subject to effluent limitation guidelines.
Sector P - Land transportation and warehousing. Vehicle,
equipment, or surface washwater, including tank cleaning operations.
Sector Q - Water transportation. Bilge and ballast water,
sanitary wastes, pressure wash water, and cooling water originating from
vessels.
Sector R - Ship and boat building or repair yards. Bilge and
ballast water, pressure wash water, sanitary wastes, and cooling water
originating from vessels.
Sector S - Air transportation. Aircraft, ground vehicle,
runway and equipment washwaters; and dry weather discharges of deicing and
anti-icing chemicals.
Sector T - Treatment works. Sanitary and industrial
wastewater; and equipment or vehicle washwaters.
Sector U - Food and kindred products. Boiler blowdown,
cooling tower overflow and blowdown, ammonia refrigeration purging, and vehicle
washing and clean-out operations.
Sector V - Textile mills, apparel, and other fabric
products. Discharges of wastewater (e.g., wastewater as a result of wet
processing or from any processes relating to the production process); reused or
recycled water; and waters used in cooling towers.
2. Releases of hazardous substances or oil in excess of
reportable quantities. The discharge of hazardous substances or oil in the
stormwater discharge(s) discharges from the facility shall be
prevented or minimized in accordance with the stormwater pollution
prevention plan SWPPP for the facility. This permit does not
authorize the discharge of hazardous substances or oil resulting from an
on-site spill. This permit does not relieve the permittee of the reporting
requirements of 40 CFR Part 110, 40 CFR Part 117, and 40 CFR Part 302 or §
62.1-44.34:19 of the Code of Virginia.
Where a release containing a hazardous substance or oil in an amount equal to or in excess of a reportable quantity established under either 40 CFR Part 110, 40 CFR Part 117, or 40 CFR Part 302 occurs during a 24-hour period:
a. The permittee is required to notify the department in accordance with the requirements of Part II G as soon as he has knowledge of the discharge;
b. Where a release enters a municipal separate storm sewer
system (MS4) an MS4, the permittee shall also notify the owner of
the MS4; and
c. The stormwater pollution prevention plan SWPPP
required under Part III shall be reviewed to identify measures to prevent the
reoccurrence of such releases and to respond to such releases, and the plan
SWPPP shall be modified where appropriate.
3. Colocated industrial activity. If the facility has
industrial activities occurring on-site which are described by any of the
activities in Part IV of the permit (9VAC25-151-90 et seq.), those industrial
activities are considered to be colocated industrial activities. Stormwater
discharges from colocated industrial activities are authorized by this permit,
provided that the permittee complies with any and all additional pollution
prevention plan SWPPP and monitoring requirements from Part IV
applicable to that particular colocated industrial activity. The permittee
shall determine which be responsible for additional pollution
prevention plan SWPPP and monitoring requirements are
applicable to the colocated industrial activity by examining the narrative
descriptions of each coverage section (Discharges covered under this
section) all discharges covered under this section.
4. The stormwater discharges authorized by this permit may be combined with other sources of stormwater which are not required to be covered under a VPDES permit, so long as the combined discharge is in compliance with this permit.
5. There shall be no discharge of waste, garbage, or floating debris in other than trace amounts.
6. Approval for coverage under this general permit does not relieve the permittee of the responsibility to comply with any other applicable federal, state, or local statute, ordinance, or regulation.
7. Discharges to waters subject to TMDL wasteload allocations. a.
Owners of facilities that are a source of the specified pollutant of concern to
waters for which a total maximum daily load (TMDL) TMDL wasteload
allocation has been approved prior to the term of this permit shall incorporate
measures and controls into the SWPPP required by Part III that are consistent
with the assumptions and requirements of the TMDL. The department will provide
written notification to the owner that a facility is subject to the TMDL
requirements. The facility's SWPPP shall specifically address any conditions or
requirements included in the TMDL that are applicable to discharges from the
facility. If the TMDL establishes a specific numeric wasteload allocation that
applies to discharges from the facility, the owner shall perform any required
monitoring in accordance with Part I A 1 c (3), and implement control measures
designed to meet that allocation.
b. Facilities in the Chesapeake Bay watershed.
8. Discharges to waters subject to the Chesapeake Bay TMDL.
(1) a. Owners of facilities in the Chesapeake
Bay watershed shall monitor their discharges for total suspended solids (TSS),
total nitrogen (TN), and total phosphorus (TP) to characterize the
contributions from their facility's specific industrial sector for these
parameters. Total nitrogen is the sum of total Kjeldahl nitrogen (TKN) and
nitrite + nitrate and shall be derived from the results of those tests.
After the facility is granted coverage under the permit, samples shall be
collected during each of the first four monitoring periods (i.e., the first two
years of permit coverage). Monitoring periods are specified in Part I A 2.
Samples shall be collected and analyzed in accordance with Part I A 2.
Monitoring results shall be reported in accordance with Part I A 5 and Part II
C, and retained in accordance with Part II B.
(2) b. Facilities that were covered under the 2009
2014 industrial stormwater general permit that sampled for TSS, TN,
or TP may use applicable sampling data from the last two monitoring periods of
that permit and the first two monitoring periods of this permit to satisfy the
four consecutive monitoring periods requirement. shall comply with the
following:
(1) Facilities that submitted a Chesapeake Bay TMDL action plan that was approved by the board during the 2014 industrial stormwater general permit term shall continue to implement the approved Chesapeake Bay TMDL action plan during this permit term. An annual report shall be submitted to the department by June 30 of each year describing the progress in meeting the required reductions unless this reporting requirement is waived by the department in accordance with Part I B 8 g. Monitoring in accordance with Part I B 8 a is not required for these facilities during this permit term.
(2) Facilities that completed four samples for TSS, TN, and TP during the 2014 industrial stormwater general permit term shall utilize the procedures in Part I B 8 c (2) to calculate their facility stormwater loads. The permittee shall submit a copy of the calculations and Chesapeake Bay TMDL action plan if required under Part I B 8 f to the department within 60 days of coverage under this general permit.
(3) Facilities that did not complete four samples for TSS, TN, and TP during the 2014 industrial stormwater general permit term shall be subject to completing the monitoring requirements in Part I B 8 a beginning with the first full monitoring period after receiving permit coverage. Calculations and a Chesapeake Bay TMDL action plan if required under Part I B 8 f shall be submitted no later than 90 days following the completion of the fourth monitoring period to the DEQ regional office serving the area where the industrial facility is located on a form provided by the department and maintained with the facility's SWPPP.
(4) Facilities that monitored for TSS, TN, or TP may use the applicable sampling data collected during the 2014 industrial stormwater general permit term to satisfy all or part of the four monitoring periods requirement in accordance with Part I B 8 a.
(3) c. Chesapeake Bay TMDL wasteload allocations
and Chesapeake Bay TMDL action plans.
(a) (1) EPA's Chesapeake Bay TMDL (December 29,
2010) includes wasteload allocations for VPDES permitted industrial stormwater facilities
as part of the regulated stormwater aggregate load. EPA used data submitted by
Virginia with the Phase I Chesapeake Bay TMDL Watershed Implementation Plan,
including the number of industrial stormwater permits per county and the number
of urban acres regulated by industrial stormwater permits, as part of their
development of the aggregate load. Aggregate loads for industrial stormwater
facilities were appropriate because actual facility loading data were not
available to develop individual facility wasteload allocations.
Virginia estimated the loadings from industrial stormwater
facilities using actual and estimated facility acreage information and TP, TN,
and TSS loading values rates from the Northern Virginia Planning
District Commission (NVPDC) Guidebook for Screening Urban Nonpoint Pollution
Management Strategies (Annandale, VA November 1979), prepared for the
Metropolitan Washington Council of Governments. The loading values rates
used were as follows:
TP - High (80%) imperviousness industrial; 1.5 lb/ac/yr
TN - High (80%) imperviousness industrial; 12.3 lb/ac/yr
TSS - High (80%) imperviousness industrial; 440 lb/ac/yr
The actual facility area information and the TP, TN, and TSS
data collected for this permit will be used by the board to quantify the
nutrient and sediment loads from VPDES permitted industrial stormwater
facilities and will be submitted to EPA to aid in further refinements to its
Chesapeake Bay TMDL model. The loading information will also be used by the
board to determine any additional load reductions needed for industrial
stormwater facilities for the next reissuance of this permit.
(b) Data analysis and Chesapeake Bay TMDL action plans (2)
Calculation of facility loads. The permittee shall analyze the nutrient and
sediment data collected in accordance with subdivision 7 b (1) of this
subsection Part I B 8 a and 8 b to determine if additional action
is needed pollution reductions are required for this permit term.
The permittee shall average the data collected at the facility for each of the
pollutants of concern (POC) (e.g., TP, TN, and TSS) and compare the results to
the loading values rates for TP, TN, and TSS presented in subdivision
7 b (3) (a) of this subsection Part I B 8 c (1). To calculate the
facility loadings, the permittee may use either (i) actual annual average
rainfall data for the facility location (in inches/year), or the Virginia
annual average rainfall of 44.3 inches/year; or (ii) another method approved by
the board.
The following formula may be used to determine the loading value
rate:
L = (0.2263 x R x C) / A 0.226 x P x Pj x (0.05 +
(0.9 x Ia)) x C
where:
L = the POC loading value rate (lb/acre/year)
R = the annual average rainfall (inches/year)
P = the annual rainfall (inches/year) - The permittee may use either actual annual average rainfall data for the facility location (in inches/year), the Virginia annual average rainfall of 44.3 inches/year, or another method approved by the board.
Pj = the fraction of annual events that produce runoff - The permittee shall use 0.9 unless the board approves another rate.
Ia = the impervious fraction of the facility impervious area of industrial activity to the facility industrial activity area
C = the POC average concentration of all facility samples (mg/L) - Facilities with multiple outfalls shall calculate a weighted average concentration for each outfall using the drainage area of each outfall.
A = the facility industrial activity area (acres)
(c) For total phosphorus and total suspended solids,
all daily concentration data below the quantitation level (QL) for the
analytical method used shall be treated as half the QL. All daily concentration
data equal to or above the QL for the analytical method used shall be treated
as it is reported.
For total nitrogen, if none of the daily concentration data for the respective species (i.e., TKN, nitrate, or nitrite) are equal to or above the QL for the respective analytical methods used, the daily TN concentration value reported shall equal one half of the largest QL used for the respective species. If one of the data is equal to or above the QL, the daily TN concentration value shall be treated as that data point is reported. If more than one of the data is above the QL, the daily TN concentration value shall equal the sum of the data points as reported.
d. The permittee shall submit a copy of the calculations to the department within 90 days from the end of the last monitoring period that satisfies the monitoring requirement in Part I B 8 a. Calculations shall be submitted to the DEQ regional office serving the area where the industrial facility is located on a form provided by the department and maintained with the facility's SWPPP.
e. Any modification to the facility's industrial acreage or impervious industrial acreage will require the facility to recalculate facility loading rates. This may require the facility to modify the facility's Chesapeake Bay TMDL action plan or submit a Chesapeake Bay TMDL action plan as appropriate. Any recalculation of facility loading rates or modifications to a Chesapeake Bay TMDL action plan shall be submitted to the department within 90 days of the date on which the permittee completes a site modification. If previous monitoring is no longer representative of the modified facility, monitoring in accordance with Part I B 8 a shall commence within 90 days of the modification and the revised calculations and Chesapeake Bay TMDL action plan if required under Part I B 8 f shall be submitted no later than 90 days following completion of the fourth monitoring period.
f. Chesapeake Bay TMDL action plan Requirements. If the
calculated facility loading value rate for TP, TN, or TSS is
above the loading values rates for TP, TN, or TSS presented in subdivision
7 b (3) (a) of this subsection Part I B 8 c (1), then the
permittee shall develop and submit to the board for review and approval
a Chesapeake Bay TMDL Action Plan action plan to the department. The
plan shall be submitted within 90 days from the end of the second year's
monitoring period (by September 28, 2016). The permittee shall implement the
approved plan over the remaining term of this permit to achieve all the
necessary reductions by June 30, 2024. The action plan shall include:
(i) The Chesapeake Bay TMDL action plan shall be
submitted on a form provided by the department to the regional office serving
the area where the industrial facility is located within 90 days following the
completion of the fourth monitoring period. A copy of the current Chesapeake
Bay TMDL action plan and all facility loading rate calculations shall be
maintained with the facility's SWPPP. The Chesapeake Bay TMDL action plan shall
include:
(1) A determination of the total pollutant load reductions
for TP, TN, and TSS (as appropriate) necessary to reduce the annual loads from
industrial activities. This shall be determined by calculating multiplying
the industrial average times the difference between the TMDL loading
values rates listed in subdivision 7 b (3) (a) of this
subsection, Part I B 8 c (1) and the average of the sampling data
for TP, TN, or TSS (as appropriate) for the entire facility actual
facility loading rates calculated in accordance with Part I B 8 c (2). The
reduction applies to the total difference calculated for each pollutant of
concern;
(ii) (2) The means and methods, such as
management practices and retrofit programs, that will be utilized to meet the
required reductions determined in subdivision 7 b (3) (c) (i) of this
subsection, Part I B 8 f (1) and a schedule to achieve those
reductions by June 30, 2024. The schedule should include annual benchmarks
milestones to demonstrate the ongoing progress in meeting those
reductions; and
(iii) (3) The permittee may consider utilization
of any pollutant trading or offset program in accordance with §§ 62.1-44.19:20
through 62.1-44.19:23 of the Code of Virginia, governing trading and
offsetting, to meet the required reductions.
(d) g. A permittee required to develop and
implement a Chesapeake Bay TMDL Action Plan shall submit an annual report to
the department by June 30 of each year describing the progress in meeting the
required reductions.
h. Chesapeake Bay TMDL action plan annual reporting waiver. Upon implementation of the facility's Chesapeake Bay TMDL action plan, permittees may submit a waiver for the annual reporting requirements. The waiver request shall be submitted for board approval to the DEQ regional office serving the area where the industrial facility is located on a form provided by the department. Annual reporting requirements will be in effect until the permittee receives notice from the department that the waiver has been approved. A copy of the waiver approval shall be maintained with the SWPPP. The waiver may be revoked for cause by the board. A waiver request may be approved by the board once the permittee demonstrates that they have achieved all of the required pollutant reductions calculated under Part I B 8 f (1). Pollutant reductions may be achieved using a combination of the following alternatives:
(1) Reductions provided by one or more of the BMPs from the Virginia Stormwater BMP Clearinghouse listed in 9VAC25-870-65, approved BMPs found on the Virginia Stormwater Clearinghouse website, or BMPs approved by the Chesapeake Bay Program. Any BMPs implemented to provide the required pollutant reductions shall be incorporated in the SWPPP and be permanently maintained by the permittee;
(2) Implementation of site-specific BMPs followed by a minimum of four stormwater samples collected in accordance with sampling requirements in Part I B 8 a that demonstrate pollutant loadings have been reduced below those calculated under Part I B 8 c. Any BMPs implemented to provide the required pollutant reductions shall be incorporated in the SWPPP and be permanently maintained by the permittee; or
(3) Acquisition of nonpoint source credits certified by the board as perpetual in accordance with § 62.1-44.19:20 of the Code of Virginia.
8. 9. Discharges through a regulated MS4 to
waters subject to the Chesapeake Bay TMDL. In addition to the requirements of
this permit, any facility with industrial activity discharges through a
regulated MS4 that is notified by the MS4 operator that the locality has
adopted ordinances to meet the Chesapeake Bay TMDL shall incorporate measures
and controls into its SWPPP to comply with applicable local TMDL ordinance
requirements.
9. 10. Expansion of facilities that discharge to
waters subject to the Chesapeake Bay TMDL. Virginia's Phase I Chesapeake Bay
TMDL Watershed Implementation Plan (November 29, 2010), states that the
wasteloads from any expansion of an existing permitted facility discharging
stormwater in the Chesapeake Bay watershed cannot exceed the nutrient and
sediment loadings that were discharged from the expanded portion of the land
prior to the land being developed for the expanded industrial activity.
a. For any industrial activity area expansions (i.e.,
construction activities, including clearing, grading, and excavation
activities) that commence on or after July 1, 2014 2019, (the
effective date of this permit), the permittee shall document in the SWPPP the
information and calculations used to determine the nutrient and sediment
loadings discharged from the expanded land area prior to the land being
developed, and the measures and controls that were employed to meet the no net
increase of stormwater nutrient and sediment load as a result of the expansion
of the industrial activity. Any land disturbance that is exempt from permitting
under the VPDES construction stormwater general permit regulation (9VAC25-880)
is exempt from this requirement.
b. The permittee may use the VSMP water quality design
criteria to meet the requirements of subdivision 9 Part I B 10 a of
this subsection. Under this criteria, the total phosphorus load shall not
exceed the greater of: (i) the total phosphorus load that was discharged
from the expanded portion of the land prior to the land being developed for the
industrial activity or (ii) 0.41 pounds per acre per year. Compliance with the
water quality design criteria may be determined utilizing the Virginia Runoff
Reduction Method or another equivalent methodology approved by the board.
Design specifications and pollutant removal efficiencies for specific BMPs can
be found on the Virginia Stormwater BMP Clearinghouse website at
http://www.vwrrc.vt.edu/swc.
c. The permittee may consider utilization of any pollutant trading or offset program in accordance with §§ 62.1-44.19:20 through 62.1-44.19:23 of the Code of Virginia, governing trading and offsetting, to meet the no net increase requirement.
10. Water quality protection. The discharges authorized by this permit shall be controlled as necessary to meet applicable water quality standards. The board expects that compliance with the conditions in this permit will control discharges as necessary to meet applicable water quality standards.
11. Adding or deleting stormwater outfalls. The permittee may add new or delete existing stormwater outfalls at the facility as necessary and appropriate. The permittee shall update the SWPPP and notify the department of all outfall changes within 30 days of the change. The permittee shall submit a copy of the updated SWPPP site map with this notification.
12. Antidegradation requirements for new or increased discharges to high quality waters. Facilities that add new outfalls, or increase their discharges from existing outfalls that discharge directly to high quality waters designated under Virginia's water quality standards antidegradation policy under 9VAC25-260-30 A 2 may be notified by the department that additional control measures, or other permit conditions are necessary to comply with the applicable antidegradation requirements, or may be notified that an individual permit is required in accordance with 9VAC25-31-170 B 3.
13. If the permittee discharges to surface waters through a
municipal separate storm sewer system (MS4), the permittee shall, within 30
days of coverage under this general permit, notify the owner of the MS4 in
writing of the existence of the discharge and provide the following
information: the name of the facility, a contact person and phone number, the
location of the discharge, the nature of the discharge, and the facility's
VPDES general permit registration number. A copy of such notification shall be
provided to the department.
14. 13. Termination of permit coverage.
a. The owner may terminate coverage under this general permit by filing a complete notice of termination with the department. The notice of termination may be filed after one or more of the following conditions have been met:
(1) Operations have ceased at the facility and there are no longer discharges of stormwater associated with industrial activity from the facility;
(2) A new owner has assumed responsibility for the facility (Note:.
A notice of termination does not have to be submitted if a VPDES Change of
Ownership Agreement Form has been submitted) submitted;
(3) All stormwater discharges associated with industrial activity have been covered by an individual VPDES permit; or
(4) Termination of coverage is being requested for another reason, provided the board agrees that coverage under this general permit is no longer needed.
b. The notice of termination shall contain the following information:
(1) Owner's name, mailing address, telephone number, and email address (if available);
(2) Facility name and location;
(3) VPDES industrial stormwater general permit registration number;
(4) The basis for submitting the notice of termination, including:
(a) A statement indicating that a new owner has assumed responsibility for the facility;
(b) A statement indicating that operations have ceased at the facility, and there are no longer discharges of stormwater associated with industrial activity from the facility;
(c) A statement indicating that all stormwater discharges associated with industrial activity have been covered by an individual VPDES permit; or
(d) A statement indicating that termination of coverage is
being requested for another reason (state the reason); and a
description of the reason; and
(5) The following certification: "I certify under penalty of law that all stormwater discharges associated with industrial activity from the identified facility that are authorized by this VPDES general permit have been eliminated, or covered under a VPDES individual permit, or that I am no longer the owner of the industrial activity, or permit coverage should be terminated for another reason listed above. I understand that by submitting this notice of termination, that I am no longer authorized to discharge stormwater associated with industrial activity in accordance with the general permit, and that discharging pollutants in stormwater associated with industrial activity to surface waters is unlawful where the discharge is not authorized by a VPDES permit. I also understand that the submittal of this notice of termination does not release an owner from liability for any violations of this permit or the Clean Water Act."
c. The notice of termination shall be signed in accordance with Part II K.
d. The notice of termination shall be submitted to the DEQ regional office serving the area where the industrial facility is located.
Part II
Conditions Applicable to All VPDES Permits
A. Monitoring.
1. Samples and measurements taken as required by this permit shall be representative of the monitored activity.
2. Monitoring shall be conducted according to procedures approved under 40 CFR Part 136 or alternative methods approved by the U.S. Environmental Protection Agency, unless other procedures have been specified in this permit.
3. The permittee shall periodically calibrate and perform maintenance procedures on all monitoring and analytical instrumentation at intervals that will ensure accuracy of measurements.
4. Samples taken as required by this permit shall be analyzed in accordance with 1VAC30-45 (Certification for Noncommercial Environmental Laboratories) or 1VAC30-46 (Accreditation for Commercial Environmental Laboratories).
B. Records.
1. Records of monitoring information shall include:
a. The date, exact place, and time of sampling or measurements;
b. The individual(s) individuals who performed
the sampling or measurements;
c. The date(s) dates and time(s) times
analyses were performed;
d. The individual(s) individuals who performed
the analyses;
e. The analytical techniques or methods used; and
f. The results of such analyses.
2. The permittee shall retain copies of the SWPPP, including any modifications made during the term of this permit, records of all monitoring information, including all calibration and maintenance records and all original strip chart recordings for continuous monitoring instrumentation, copies of all reports required by this permit, and records of all data used to complete the registration statement for this permit, for a period of at least three years from the date that coverage under this permit expires or is terminated. This period of retention shall be extended automatically during the course of any unresolved litigation regarding the regulated activity or regarding control standards applicable to the permittee, or as requested by the board.
C. Reporting monitoring results.
1. The permittee shall submit the results of the monitoring required by this permit not later than the 10th day of the month after monitoring takes place, unless another reporting schedule is specified elsewhere in this permit. Monitoring results shall be submitted to the department's regional office.
2. Monitoring results shall be reported on a discharge
monitoring report (DMR) or on forms provided, approved or specified by the
department in the department's electronic discharge monitoring report
(e-DMR) system. All reports and forms submitted in compliance with this
permit shall be submitted electronically by the permittee in accordance with
9VAC25-31-1020.
3. If the permittee monitors any pollutant specifically
addressed by this permit more frequently than required by this permit using
test procedures approved under 40 CFR Part 136 or using other test procedures
approved by the U.S. Environmental Protection Agency or using procedures
specified in this permit, the results of this monitoring shall be included in
the calculation and reporting of the data submitted on the DMR in
e-DMR or reporting form specified by the department.
4. Calculations for all limitations which require averaging of measurements shall utilize an arithmetic mean unless otherwise specified in this permit.
D. Duty to provide information. The permittee shall furnish to the department, within a reasonable time, any information which the board may request to determine whether cause exists for modifying, revoking and reissuing, or terminating coverage under this permit or to determine compliance with this permit. The board may require the permittee to furnish, upon request, such plans, specifications, and other pertinent information as may be necessary to determine the effect of the wastes from the discharge on the quality of state waters, or such other information as may be necessary to accomplish the purposes of the State Water Control Law. The permittee shall also furnish to the department upon request, copies of records required to be kept by this permit.
E. Compliance schedule reports. Reports of compliance or noncompliance with, or any progress reports on, interim and final requirements contained in any compliance schedule of this permit shall be submitted no later than 14 days following each schedule date.
F. Unauthorized discharges. Except in compliance with this permit, or another permit issued by the board, it shall be unlawful for any person to:
1. Discharge into state waters sewage, industrial wastes, other wastes, or any noxious or deleterious substances; or
2. Otherwise alter the physical, chemical or biological properties of such state waters and make them detrimental to the public health, or to animal or aquatic life, or to the use of such waters for domestic or industrial consumption, or for recreation, or for other uses.
G. Reports of unauthorized discharges. Any permittee who discharges or causes or allows a discharge of sewage, industrial waste, other wastes or any noxious or deleterious substance into or upon state waters in violation of Part II F; or who discharges or causes or allows a discharge that may reasonably be expected to enter state waters in violation of Part II F, shall notify the department of the discharge immediately upon discovery of the discharge, but in no case later than 24 hours after said discovery. A written report of the unauthorized discharge shall be submitted to the department within five days of discovery of the discharge. The written report shall contain:
1. A description of the nature and location of the discharge;
2. The cause of the discharge;
3. The date on which the discharge occurred;
4. The length of time that the discharge continued;
5. The volume of the discharge;
6. If the discharge is continuing, how long it is expected to continue;
7. If the discharge is continuing, what the expected total volume of the discharge will be; and
8. Any steps planned or taken to reduce, eliminate and prevent a recurrence of the present discharge or any future discharges not authorized by this permit.
Discharges reportable to the department under the immediate reporting requirements of other regulations are exempted from this requirement.
H. Reports of unusual or extraordinary discharges. If any
unusual or extraordinary discharge including a bypass or upset should occur
from a treatment works and the discharge enters or could be expected to enter
state waters, the permittee shall promptly notify, in no case later than 24
hours, the department by telephone after the discovery of the discharge. This
notification shall provide all available details of the incident, including any
adverse effects on aquatic life and the known number of fish killed. The
permittee shall reduce the report to writing and shall submit it to the
department within five days of discovery of the discharge in accordance with
Part II I 2 1 b. Unusual and extraordinary discharges include but
are not limited to any discharge resulting from:
1. Unusual spillage of materials resulting directly or indirectly from processing operations;
2. Breakdown of processing or accessory equipment;
3. Failure or taking out of service some or all of the treatment works; and
4. Flooding or other acts of nature.
I. Reports of noncompliance.
1. The permittee shall report any noncompliance which
that may adversely affect state waters or may endanger public health.
1. a. An oral report shall be provided within 24
hours from the time the permittee becomes aware of the circumstances. The
following shall be included as information which that shall be
reported within 24 hours under this paragraph Part II I:
a. (1) Any unanticipated bypass; and
b. (2) Any upset which causes a discharge to
surface waters.
2. b. A written report shall be submitted within
five days and shall contain:
a. (1) A description of the noncompliance and
its cause;
b. (2) The period of noncompliance, including
exact dates and times, and if the noncompliance has not been corrected, the
anticipated time it is expected to continue; and
c. (3) Steps taken or planned to reduce,
eliminate, and prevent reoccurrence of the noncompliance.
The board may waive the written report on a case-by-case basis for reports of noncompliance under Part II I if the oral report has been received within 24 hours and no adverse impact on state waters has been reported.
3. 2. The permittee shall report all instances of
noncompliance not reported under Part II I 1 or 2, in writing, at
the time the next monitoring reports are submitted. The reports shall contain
the information listed in Part II I 2 1.
NOTE: 3. The immediate (within 24 hours) reports
required in Part II G, H and I may be made to the department's regional office.
Reports may be made by telephone, FAX, or online at
http://www.deq.virginia.gov/Programs/PollutionResponsePreparedness/MakingaReport.aspx.
For reports outside normal working hours, a message may be left and this shall
fulfill the immediate reporting requirement. For emergencies, the Virginia
Department of Emergency Management maintains a 24-hour telephone service at
1-800-468-8892.
J. Notice of planned changes.
1. The permittee shall give notice to the department as soon as possible of any planned physical alterations or additions to the permitted facility. Notice is required only when:
a. The permittee plans alteration or addition to any building, structure, facility, or installation from which there is or may be a discharge of pollutants, the construction of which commenced:
(1) After promulgation of standards of performance under § 306 of the Clean Water Act which are applicable to such source; or
(2) After proposal of standards of performance in accordance with § 306 of the Clean Water Act which are applicable to such source, but only if the standards are promulgated in accordance with § 306 within 120 days of their proposal;
b. The alteration or addition could significantly change the nature or increase the quantity of pollutants discharged. This notification applies to pollutants which are subject neither to effluent limitations nor to notification requirements specified elsewhere in this permit; or
c. The alteration or addition results in a significant change in the permittee's sludge use or disposal practices, and such alteration, addition, or change may justify the application of permit conditions that are different from or absent in the existing permit, including notification of additional use or disposal sites not reported during the permit application process or not reported pursuant to an approved land application plan.
2. The permittee shall give advance notice to the department of any planned changes in the permitted facility or activity which may result in noncompliance with permit requirements.
K. Signatory requirements.
1. Registration statement. All registration statements shall be signed as follows:
a. For a corporation: by a responsible corporate officer. For
the purpose of this section, a responsible corporate officer means: (i)
a president, secretary, treasurer, or vice-president of the corporation in
charge of a principal business function, or any other person who performs
similar policy-making or decision-making functions for the corporation; or (ii)
the manager of one or more manufacturing, production, or operating facilities,
provided the manager is authorized to make management decisions that govern the
operation of the regulated facility including having the explicit or implicit
duty of making major capital investment recommendations, and initiating and
directing other comprehensive measures to assure long-term environmental
compliance with environmental laws and regulations; the manager can ensure that
the necessary systems are established or actions taken to gather complete and
accurate information for permit registration requirements; and where authority
to sign documents has been assigned or delegated to the manager in accordance
with corporate procedures;
b. For a partnership or sole proprietorship: by a general partner or the proprietor, respectively; or
c. For a municipality, state, federal, or other public agency:
by either a principal executive officer or ranking elected official. For purposes
of this section, a principal executive officer of a public agency includes:
(i) the chief executive officer of the agency, or (ii) a senior executive
officer having responsibility for the overall operations of a principal
geographic unit of the agency.
2. Reports, etc. All reports required by permits, and other information requested by the board shall be signed by a person described in Part II K 1 or by a duly authorized representative of that person. A person is a duly authorized representative only if:
a. The authorization is made in writing by a person described in Part II K 1;
b. The authorization specifies either an individual or a position having responsibility for the overall operation of the regulated facility or activity such as the position of plant manager, operator of a well or a well field, superintendent, position of equivalent responsibility, or an individual or position having overall responsibility for environmental matters for the company. A duly authorized representative may thus be either a named individual or any individual occupying a named position; and
c. The written authorization is submitted to the department.
3. Changes to authorization. If an authorization under Part II K 2 is no longer accurate because a different individual or position has responsibility for the overall operation of the facility, a new authorization satisfying the requirements of Part II K 2 shall be submitted to the department prior to or together with any reports, or information to be signed by an authorized representative.
4. Certification. Any person signing a document under Part II K 1 or 2 shall make the following certification:
"I certify under penalty of law that this document and all attachments were prepared under my direction or supervision in accordance with a system designed to assure that qualified personnel properly gather and evaluate the information submitted. Based on my inquiry of the person or persons who manage the system, or those persons directly responsible for gathering the information, the information submitted is, to the best of my knowledge and belief, true, accurate, and complete. I am aware that there are significant penalties for submitting false information, including the possibility of fine and imprisonment for knowing violations."
L. Duty to comply. The permittee shall comply with all
conditions of this permit. Any permit noncompliance constitutes a violation of
the State Water Control Law and the Clean Water Act, except that noncompliance
with certain provisions of this permit may constitute a violation of the State
Water Control Law but not the Clean Water Act. Permit noncompliance is grounds
for enforcement action; for permit coverage termination, revocation
and reissuance, or modification; or denial of a permit coverage renewal application.
The permittee shall comply with effluent standards or
prohibitions established under § 307(a) of the Clean Water Act for toxic
pollutants and with standards for sewage sludge use or disposal established
under § 405(d) of the Clean Water Act within the time provided in the
regulations that establish these standards or prohibitions or standards for
sewage sludge use or disposal, even if this permit has not yet been
modified to incorporate the requirement.
M. Duty to reapply. If the permittee wishes to continue an activity regulated by this permit after the expiration date of this permit, the permittee shall submit a new registration statement at least 60 days before the expiration date of the existing permit, unless permission for a later date has been granted by the board. The board shall not grant permission for registration statements to be submitted later than the expiration date of the existing permit.
N. Effect of a permit. This permit does not convey any property rights in either real or personal property or any exclusive privileges, nor does it authorize any injury to private property or invasion of personal rights, or any infringement of federal, state or local law or regulations.
O. State law. Nothing in this permit shall be construed to preclude the institution of any legal action under, or relieve the permittee from any responsibilities, liabilities, or penalties established pursuant to any other state law or regulation or under authority preserved by § 510 of the Clean Water Act. Except as provided in permit conditions on "bypassing" (Part II U), and "upset" (Part II V) nothing in this permit shall be construed to relieve the permittee from civil and criminal penalties for noncompliance.
P. Oil and hazardous substance liability. Nothing in this permit shall be construed to preclude the institution of any legal action or relieve the permittee from any responsibilities, liabilities, or penalties to which the permittee is or may be subject under §§ 62.1-44.34:14 through 62.1-44.34:23 of the State Water Control Law.
Q. Proper operation and maintenance. The permittee shall at all times properly operate and maintain all facilities and systems of treatment and control (and related appurtenances) which are installed or used by the permittee to achieve compliance with the conditions of this permit. Proper operation and maintenance also includes effective plant performance, adequate funding, adequate staffing, and adequate laboratory and process controls, including appropriate quality assurance procedures. This provision requires the operation of back-up or auxiliary facilities or similar systems which are installed by the permittee only when the operation is necessary to achieve compliance with the conditions of this permit.
R. Disposal of solids or sludges. Solids, sludges or other pollutants removed in the course of treatment or management of pollutants shall be disposed of in a manner so as to prevent any pollutant from such materials from entering state waters.
S. Duty to mitigate. The permittee shall take all reasonable steps to minimize or prevent any discharge or sludge use or disposal in violation of this permit which has a reasonable likelihood of adversely affecting human health or the environment.
T. Need to halt or reduce activity not a defense. It shall not be a defense for a permittee in an enforcement action that it would have been necessary to halt or reduce the permitted activity in order to maintain compliance with the conditions of this permit.
U. Bypass.
1. "Bypass" means the intentional diversion of waste streams from any portion of a treatment facility. The permittee may allow any bypass to occur which does not cause effluent limitations to be exceeded, but only if it also is for essential maintenance to assure efficient operation. These bypasses are not subject to the provisions of Part II U 2 and 3.
2. Notice.
a. Anticipated bypass. If the permittee knows in advance of the need for a bypass, prior notice shall be submitted, if possible at least 10 days before the date of the bypass.
b. Unanticipated bypass. The permittee shall submit notice of an unanticipated bypass as required in Part II I.
3. Prohibition of bypass.
a. Bypass is prohibited, and the board may take enforcement action against a permittee for bypass, unless:
(1) Bypass was unavoidable to prevent loss of life, personal injury, or severe property damage;
(2) There were no feasible alternatives to the bypass, such as the use of auxiliary treatment facilities, retention of untreated wastes, or maintenance during normal periods of equipment downtime. This condition is not satisfied if adequate back-up equipment should have been installed in the exercise of reasonable engineering judgment to prevent a bypass which occurred during normal periods of equipment downtime or preventive maintenance; and
(3) The permittee submitted notices as required under Part II U 2.
b. The board may approve an anticipated bypass, after considering its adverse effects, if the board determines that it will meet the three conditions listed above in Part II U 3 a.
V. Upset.
1. An upset constitutes an affirmative defense to an action brought for noncompliance with technology based permit effluent limitations if the requirements of Part II V 2 are met. A determination made during administrative review of claims that noncompliance was caused by upset, and before an action for noncompliance, is not a final administrative action subject to judicial review.
2. A permittee who wishes to establish the affirmative defense of upset shall demonstrate, through properly signed, contemporaneous operating logs, or other relevant evidence that:
a. An upset occurred and that the permittee can identify the cause(s)
causes of the upset;
b. The permitted facility was at the time being properly operated;
c. The permittee submitted notice of the upset as required in Part II I; and
d. The permittee complied with any remedial measures required under Part II S.
3. In any enforcement proceeding the permittee seeking to establish the occurrence of an upset has the burden of proof.
W. Inspection and entry. The permittee shall allow the director, or an authorized representative, including an authorized contractor acting as a representative of the administrator, upon presentation of credentials and other documents as may be required by law, to:
1. Enter upon the permittee's premises where a regulated facility or activity is located or conducted, or where records must be kept under the conditions of this permit;
2. Have access to and copy, at reasonable times, any records that must be kept under the conditions of this permit;
3. Inspect at reasonable times any facilities, equipment (including monitoring and control equipment), practices, or operations regulated or required under this permit; and
4. Sample or monitor at reasonable times, for the purposes of assuring permit compliance or as otherwise authorized by the Clean Water Act and the State Water Control Law, any substances or parameters at any location.
For purposes of this section, the time for inspection shall be deemed reasonable during regular business hours, and whenever the facility is discharging. Nothing contained herein shall make an inspection unreasonable during an emergency.
X. Permit actions. Permits Permit coverages may
be modified, revoked and reissued, or terminated for cause. The filing
of a request by the permittee for a permit modification, revocation and
reissuance, or termination, or a notification of planned changes or
anticipated noncompliance does not stay any permit condition.
Y. Transfer of permits.
1. Permits are not transferable to any person except after notice to the department.
2. Coverage under this permit may be automatically transferred to a new permittee if:
1. a. The current permittee notifies the
department within 30 days of the proposed transfer of the title to the
facility or property, unless permission for a later date has been granted by
the board;
2. b. The notice includes a written agreement
between the existing and new permittees containing a specific date for transfer
of permit responsibility, coverage, and liability between them; and
3. c. The board does not notify the existing
permittee and the proposed new permittee of its intent to deny the new
permittee coverage under the permit. If this notice is not received, the
transfer is effective on the date specified in the agreement mentioned in Part
II Y 2 b.
Z. Severability. The provisions of this permit are severable, and if any provision of this permit or the application of any provision of this permit to any circumstance, is held invalid, the application of such provision to other circumstances, and the remainder of this permit, shall not be affected thereby.
Part III
Stormwater Pollution Prevention Plan
9VAC25-151-80. Stormwater Pollution Prevention Plans pollution
prevention plans.
A Stormwater Pollution Prevention Plans pollution
prevention plan (SWPPP) shall be developed and implemented for the facility
covered by this permit. The SWPPP is intended to document the selection,
design, and installation of control measures, including BMPs, to eliminate
or reduce minimize the pollutants in all stormwater discharges from
the facility, and to meet applicable effluent limitations and water quality
standards.
The SWPPP requirements of this general permit may be fulfilled, in part, by incorporating by reference other plans or documents such as a spill prevention control and countermeasure (SPCC) plan developed for the facility under § 311 of the Clean Water Act, or best management practices (BMP) programs otherwise required for the facility, provided that the incorporated plan meets or exceeds the plan requirements of Part III B (Contents of the Plan). All plans incorporated by reference into the SWPPP become enforceable under this permit. If a plan incorporated by reference does not contain all of the required elements of the SWPPP of Part III B, the permittee shall develop the missing SWPPP elements and include them in the required plan.
A. Deadlines for plan SWPPP preparation and
compliance.
1. Facilities that were covered under the 2009 2014
Industrial Stormwater General Permit. Owners of facilities that were covered
under the 2009 2014 Industrial Stormwater General Permit who are
continuing coverage under this general permit shall update and implement any
revisions to the SWPPP within 90 days of the board granting coverage under this
permit.
2. New facilities, facilities previously covered by an expiring individual permit, and existing facilities not currently covered by a VPDES permit. Owners of new facilities, facilities previously covered by an expiring individual permit, and existing facilities not currently covered by a VPDES permit who elect to be covered under this general permit shall prepare and implement the SWPPP prior to submitting the registration statement.
3. New owners of existing facilities. Where the owner of an existing facility that is covered by this permit changes, the new owner of the facility shall update and implement any revisions to the SWPPP within 60 days of the ownership change.
4. Extensions. Upon a showing of good cause, the director may establish a later date in writing for the preparation and compliance with the SWPPP.
B. Contents of the plan SWPPP. The contents of
the SWPPP shall comply with the requirements listed below and those in the
appropriate sectors of Part IV (9VAC25-151-90 et seq.). These requirements are
cumulative. If a facility has colocated industrial activities that are
covered in more than one sector of Part IV, that facility's pollution
prevention plan SWPPP shall comply with the requirements listed in
all applicable sectors. The following requirements are applicable to all SWPPPs
developed under this general permit. The plan SWPPP shall
include, at a minimum, the following items:
1. Pollution prevention team. The plan SWPPP
shall identify the staff individuals by name or title who comprise the
facility's stormwater pollution prevention team. The pollution prevention team
is responsible for assisting the facility or plant manager in developing,
implementing, maintaining, revising and ensuring compliance with the facility's
SWPPP. Specific responsibilities of each staff individual on the team shall be
identified and listed.
2. Site description. The SWPPP shall include the following:
a. Activities at the facility. A description of the
nature of the industrial activities at the facility.
b. General location map. A general location map (e.g., USGS
quadrangle or other map) with enough detail to identify the location of the
facility and the receiving waters within one mile of the facility.
c. Site map. b. A site map identifying the
following:
(1) The boundaries of the property and the size of the
property (in acres) in acres;
(2) The location and extent of significant structures and
impervious surfaces (roofs, paved areas and other impervious areas);
(3) Locations of all stormwater conveyances, including
ditches, pipes, swales, and inlets, and the directions of stormwater flow (use
arrows to show which ways stormwater will flow) using arrows to indicate
which direction stormwater will flow;
(4) Locations of all existing structural and source stormwater
control measures, including BMPs;
(5) Locations of all surface water bodies, including wetlands;
(6) Locations of potential pollutant sources identified under Part III B 3;
(7) Locations where significant spills or leaks identified under Part III B 3 c have occurred;
(8) Locations of the following activities where such
activities are exposed to precipitation: fueling stations; vehicle and
equipment maintenance and cleaning areas; loading and unloading areas;
locations used for the treatment, storage or disposal of wastes; liquid storage
tanks; processing and storage areas; access roads, rail cars and tracks;
transfer areas for substances in bulk; and machinery;
(9) (8) Locations of stormwater outfalls and
an approximate outline of the area draining to each outfall, and location of
municipal storm sewer systems, if the stormwater from the facility discharges
to them. Outfalls shall be numbered using a unique numerical identification
code for each outfall (e.g., Outfall No. 001, No. 002, etc.);.
(10) (a) An approximate outline of the area draining
to each outfall;
(b) The drainage area of each outfall in acres;
(c) The longitude and latitude of each outfall;
(d) The location of any MS4 conveyance receiving discharge from the facility; and
(e) Each outfall shall be identified with a unique numerical identification code. For example: Outfall Number 001, Outfall Number 002, etc.;
(9) Location and description of all nonstormwater discharges;
(11) (10) Location of any storage piles
containing salt used for deicing or other commercial or industrial purposes;
(12) (11) Locations and sources of suspected
runon run-on to the site from an adjacent property,
where if the runon contains run-on is suspected of
containing significant quantities of pollutants; and
(13) (12) Locations of all stormwater monitoring
points.
d. Receiving waters and wetlands. The name of all surface
waters receiving discharges from the site, including intermittent streams, dry
sloughs, and arroyos. Provide a description of wetland sites that may receive
discharges from the facility. If the facility discharges through a municipal
separate storm sewer system (MS4) an MS4, identify the MS4 operator,
and the receiving water to which the MS4 discharges.
3. Summary of potential pollutant sources. The plan SWPPP
shall identify each separate area at the facility where industrial materials or
activities are exposed to stormwater. Industrial materials or activities
include, but are not limited to: material handling equipment or
activities, industrial machinery, raw materials, industrial production and
processes, intermediate products, byproducts, final products, and waste
products. Material handling activities include, but are not limited to:
the storage, loading and unloading, transportation, disposal, or conveyance of
any raw material, intermediate product, final product or waste product. For
each separate area identified, the description shall include:
a. Activities in the area. A list of the industrial activities
exposed to stormwater (e.g., material storage, equipment fueling and
cleaning, cutting steel beams).
b. Pollutants. A list of the pollutant(s) or pollutants,
pollutant constituents (e.g., crankcase oil, zinc, sulfuric acid, cleaning
solvents, etc.), or industrial chemicals associated with each
industrial activity that could potentially be exposed to stormwater. The
pollutant list shall include all significant materials handled, treated, stored
or disposed that have been exposed to stormwater in the three years prior to
the date this SWPPP was prepared or amended. The list shall include any
hazardous substances or oil at the facility.
c. Spills and leaks. The SWPPP shall clearly identify areas
where potential spills and leaks that can contribute pollutants to stormwater
discharges can occur and their corresponding outfalls. The plan SWPPP
shall include a list of significant spills and leaks of toxic or hazardous
pollutants that actually occurred at exposed areas, or that drained to a
stormwater conveyance during the three-year period prior to the date this SWPPP
was prepared or amended. The list shall be updated within 60 days of the
incident if significant spills or leaks occur in exposed areas of the
facility during the term of the permit. Significant spills and leaks
include, but are not limited to, releases of oil or hazardous substances in
excess of reportable quantities.
d. Sampling data. The plan SWPPP shall include a
summary of existing stormwater discharge sampling data taken at the
facility. The summary shall include, at a minimum, any data collected
during the previous permit term three years.
4. Stormwater controls.
a. Control measures shall be implemented for all the areas
identified in Part III B 3 (summary of potential pollutant sources) to
prevent or control pollutants in stormwater discharges from the facility.
Regulated stormwater discharges from the facility include stormwater runon
run-on that commingles with stormwater discharges associated with
industrial activity at the facility. The SWPPP shall describe the type,
location and implementation of all control measures for each area where
industrial materials or activities are exposed to stormwater.
Selection of control measures shall take into consideration:
(1) That preventing stormwater from coming into contact with polluting materials is generally more effective, and less costly, than trying to remove pollutants from stormwater;
(2) Control measures generally shall be used in combination with each other for most effective water quality protection;
(3) Assessing the type and quantity of pollutants, including their potential to impact receiving water quality, is critical to designing effective control measures;
(4) That minimizing impervious areas at the facility can
reduce runoff and improve groundwater recharge and stream base flows in local
streams (however, care must be taken to avoid ground water groundwater
contamination);
(5) Flow attenuation by use of open vegetated swales and natural depressions can reduce in-stream impacts of erosive flows;
(6) Conservation or restoration of riparian buffers will help protect streams from stormwater runoff and improve water quality; and
(7) Treatment interceptors (e.g., swirl separators and sand filters) may be appropriate in some instances to minimize the discharge of pollutants.
b. Nonnumeric technology-based effluent limits. The permittee
shall implement the following types of control measures to prevent and control
pollutants in the stormwater discharges from the facility, unless it can be
demonstrated and documented that such controls are not relevant to the
discharges (e.g., there are no storage piles containing salt).
(1) Good housekeeping. The permittee shall keep clean all
exposed areas of the facility that are potential sources of pollutants to
stormwater discharges. Typical problem areas include areas around trash
containers, storage areas, loading docks, and vehicle fueling and maintenance
areas. The plan shall include a schedule for regular pickup and disposal of
waste materials, along with routine inspections for leaks and conditions of
drums, tanks and containers. The permittee shall perform the following
good housekeeping measures to minimize pollutant discharges:
(a) The SWPPP shall include a schedule for regular pickup and disposal of waste materials, along with routine inspections for leaks and conditions of drums, tanks, and containers;
(b) As feasible, the facility shall sweep or vacuum;
(c) Store materials in containers constructed of appropriate materials;
(d) Manage all waste containers to prevent a discharge of pollutants;
(e) Minimize the potential for waste, garbage, and floatable debris to be discharged by keeping areas exposed to stormwater free of such materials or by intercepting such materials prior to discharge; and
(f) Facilities that handle pre-production plastic or plastic waste shall implement BMPs to eliminate stormwater discharges of plastics.
(2) Eliminating and minimizing exposure. To the extent
practicable, manufacturing, processing, and material storage areas (including loading
and unloading, storage, disposal, cleaning, maintenance, and fueling
operations) shall be located inside, or protected by a storm-resistant covering
to prevent exposure to rain, snow, snowmelt, and runoff. Note:
Eliminating exposure at all industrial areas may make the facility eligible for
the "Conditional Exclusion for No Exposure" provision of
9VAC25-31-120 E, thereby eliminating the need to have a permit. Unless
infeasible, facilities shall implement the following:
(a) Use grading, berming, or curbing to prevent runoff of contaminated flows and divert run-on away from potential sources of pollutants;
(b) Locate materials, equipment, and activities so that potential leaks and spills are contained, or able to be contained, or diverted before discharge;
(c) Clean up spills and leaks immediately, upon discovery of the spills or leaks, using dry methods (e.g., absorbents) to prevent the discharge of pollutants;
(d) Store leaking vehicles and equipment indoors or, if stored outdoors, use drip pans and adsorbents;
(e) Utilize appropriate spill or overflow protections equipment;
(f) Perform all vehicle maintenance or equipment cleaning operations indoors, under cover, or in bermed areas that prevent runoff and run-on and also capture any overspray; and
(g) Drain fluids from equipment and vehicles that will be decommissioned, and for any equipment and vehicles that remain unused for extended periods of time, inspect at least monthly for leaks.
(3) Preventive maintenance. The permittee shall have a preventive
maintenance program that includes regular inspection, testing, maintenance and
repairing of all industrial equipment and systems to avoid situations that
could result in leaks, spills and other releases of pollutants in stormwater
discharged from the facility. This program is in addition to the specific
control measure maintenance required under Part III C (Maintenance of
control measures) (Maintenance).
(4) Spill prevention and response procedures. The plan SWPPP
shall describe the procedures that will be followed for preventing and
responding to spills and leaks, including:
(a) Preventive measures, such as barriers between material storage and traffic areas, secondary containment provisions, and procedures for material storage and handling;
(b) Response procedures, including notification of appropriate facility personnel, emergency agencies, and regulatory agencies, and procedures for stopping, containing and cleaning up spills. Measures for cleaning up hazardous material spills or leaks shall be consistent with applicable RCRA regulations at 40 CFR Part 264 and 40 CFR Part 265. Employees who may cause, detect or respond to a spill or leak shall be trained in these procedures and have necessary spill response equipment available. If possible, one of these individuals shall be a member of the Pollution Prevention Team;
(c) Procedures for plainly labeling containers (e.g., "used oil," "spent solvents," "fertilizers and pesticides," etc.) that could be susceptible to spillage or leakage to encourage proper handling and facilitate rapid response if spills or leaks occur; and
(d) Contact information for individuals and agencies that must be notified in the event of a spill shall be included in the SWPPP, and in other locations where it will be readily available.
(5) Salt storage piles or piles containing salt. Storage piles of salt or piles containing salt used for deicing or other commercial or industrial purposes shall be enclosed or covered to prevent exposure to precipitation. The permittee shall implement appropriate measures (e.g., good housekeeping, diversions, containment) to minimize exposure resulting from adding to or removing materials from the pile. All salt storage piles shall be located on an impervious surface. All runoff from the pile, and runoff that comes in contact with salt, including under drain systems, shall be collected and contained within a bermed basin lined with concrete or other impermeable materials, or within an underground storage tank or tanks, or within an above ground storage tank or tanks, or disposed of through a sanitary sewer (with the permission of the owner of the treatment facility). A combination of any or all of these methods may be used. In no case shall salt contaminated stormwater be allowed to discharge directly to the ground or to surface waters.
(6) Employee training. The permittee shall implement a stormwater employee training program for the facility. The SWPPP shall include a schedule for all types of necessary training, and shall document all training sessions and the employees who received the training. Training shall be provided at least annually for all employees who work in areas where industrial materials or activities are exposed to stormwater, and for employees who are responsible for implementing activities identified in the SWPPP (e.g., inspectors, maintenance personnel, etc.). The training shall cover the components and goals of the SWPPP, and include such topics as spill response, good housekeeping, material management practices, control measure operation and maintenance, etc. The SWPPP shall include a summary of any training performed.
(7) Sediment and erosion control. The plan SWPPP
shall identify areas at the facility that, due to topography, land disturbance
(e.g., construction, landscaping, site grading), or other factors, have a
potential for soil erosion. The permittee shall identify and implement
structural, vegetative, and stabilization control measures to prevent or
control on-site and off-site erosion and sedimentation. Flow velocity dissipation
devices shall be placed at discharge locations and along the length of any
outfall channel if the flows would otherwise create erosive conditions.
(8) Management of runoff. The plan SWPPP shall
describe the stormwater runoff management practices (i.e., permanent structural
control measures) for the facility. These types of control measures are
typically shall be used to divert, infiltrate, reuse, or otherwise
reduce pollutants in stormwater discharges from the site.
Structural control measures may require a separate permit under § 404 of the CWA and the Virginia Water Protection Permit Program Regulation (9VAC25-210) before installation begins.
(9) Dust suppression and vehicle tracking of industrial materials. The permittee shall implement control measures to minimize the generation of dust and off-site tracking of raw, final, or waste materials. Stormwater collected on-site may be used for the purposes of dust suppression or for spraying stockpiles. Potable water, well water, and uncontaminated reuse water may also be used for this purpose. There shall be no direct discharge to surface waters from dust suppression activities or as a result of spraying stockpiles.
5. Routine facility inspections. Facility personnel Personnel
who possess the knowledge and skills to assess conditions and activities that
could impact stormwater quality at the facility and who can also evaluate the
effectiveness of control measures shall regularly inspect all areas of the
facility where industrial materials or activities are exposed to stormwater,
areas where spills or leaks have occurred in the past three years, discharge
points, and control measures. These inspections are in addition to, or
as part of, the comprehensive site evaluation required under Part III E. At
least one member of the pollution prevention team shall participate in the
routine facility inspections.
The inspection frequency shall be specified in the plan SWPPP
based upon a consideration of the level of industrial activity at the facility,
but shall be at a minimum quarterly of once per calendar quarter
unless more frequent intervals are specified elsewhere in the permit or written
approval is received from the department for less frequent intervals.
Inspections shall be performed during periods when the facility is in
operation operating hours. At least once each calendar year, the
routine facility inspection shall be conducted during a period when a
stormwater discharge is occurring.
The requirement for routine facility inspections is waived for
facilities that have maintained an active VEEP E3/E4 status. Note:
Certain sectors in Part IV have additional inspection requirements. If the VEEP
E3/E4 waiver language is not included for the sector specific inspections,
these additional inspection requirements may not be waived.
Any deficiencies in the implementation of the SWPPP that are
found shall be corrected as soon as practicable, but not later than within 30
60 days of the inspection, unless permission for a later date is granted
in writing by the director. The results of the inspections shall be documented
in the SWPPP and shall include at a minimum:
a. The inspection date and time;
b. The name(s) and signature(s) names of the inspector(s)
inspectors;
c. Weather information and a description of any discharges occurring at the time of the inspection;
d. Any previously unidentified discharges of pollutants from the site;
e. Any control measures needing maintenance or repairs;
f. Any failed control measures that need replacement;
g. Any incidents of noncompliance observed; and
h. Any additional control measures needed to comply with the permit requirements.
C. Maintenance. The SWPPP shall include a description of procedures and a regular schedule for preventive maintenance of all control measures, and shall include a description of the back-up practices that are in place should a runoff event occur while a control measure is off-line. The effectiveness of nonstructural control measures shall also be maintained by appropriate means (e.g., spill response supplies available and personnel trained, etc.).
All control measures identified in the SWPPP shall be
maintained in effective operating condition and shall be observed at least
annually during active operation (i.e., during a stormwater runoff event)
when a stormwater discharge is occurring to ensure that they are
functioning correctly. Where discharge locations are inaccessible, nearby
downstream locations shall be observed. The observations shall be documented in
the SWPPP.
If site routine facility inspections required by
Part III B 5 (Routine facility inspections) or Part III E (Comprehensive
site compliance evaluation) identify control measures that are not
operating effectively, repairs or maintenance shall be performed before the next
anticipated storm event. If maintenance prior to the next anticipated storm
event is not possible, maintenance shall be scheduled and accomplished as soon
as practicable. In the interim, back-up measures shall be employed and
documented in the SWPPP until repairs or maintenance is complete. Documentation
shall be kept with the SWPPP of maintenance and repairs of control measures,
including the date(s) dates of regular maintenance, date(s)
dates of discovery of areas in need of repair or replacement, date(s)
dates for repairs, date(s) dates that the control measure(s)
measures returned to full function, and the justification for any
extended maintenance or repair schedules.
D. Nonstormwater discharges.
1. Discharges of certain sources of nonstormwater listed in
Part I B 1 are allowable discharges under this permit (see Part I B,
Special Condition No. 1 - Allowable nonstormwater discharges). All other
nonstormwater discharges are not authorized and shall be either eliminated or
covered under a separate VPDES permit.
2. Annual outfall evaluation for unauthorized discharges.
a. The SWPPP shall include documentation that all stormwater
outfalls associated with industrial activity have been evaluated annually for
the presence of unauthorized discharges (i.e., discharges other than
stormwater; the authorized nonstormwater discharges described in Part I B,
Special Condition No. 1; or discharges covered under a separate VPDES permit,
other than this permit). The documentation shall include:
(1) The date of the evaluation;
(2) A description of the evaluation criteria used;
(3) A list of the outfalls or on-site drainage points that were directly observed during the evaluation;
(4) A description of the results of the evaluation for the presence of unauthorized discharges; and
(5) The actions taken to eliminate unauthorized discharges if
any were identified (i.e., a floor drain was sealed, a sink drain was
rerouted to sanitary, or a VPDES permit application was submitted for a cooling
water discharge).
b. The permittee may request in writing to the department that the facility be allowed to conduct annual outfall evaluations at 20% of the outfalls. If approved, the permittee shall evaluate at least 20% of the facility outfalls each year on a rotating basis such that all facility outfalls will be evaluated during the period of coverage under this permit.
E. Comprehensive site compliance evaluation. The permittee
shall conduct comprehensive site compliance evaluations at least once each
calendar year after coverage under the permit begins. The evaluations shall be
done by qualified personnel who possess the knowledge and skills to assess
conditions and activities that could impact stormwater quality at the facility,
and who can also evaluate the effectiveness of control measures. The personnel
conducting the evaluations may be either facility employees or outside
personnel hired by the facility.
1. Scope of the compliance evaluation. Evaluations shall include
all areas where industrial materials or activities are exposed to stormwater,
as identified in Part III B 3. The personnel shall evaluate:
a. Industrial materials, residue or trash that may have or
could come into contact with stormwater;
b. Leaks or spills from industrial equipment, drums,
barrels, tanks or other containers that have occurred within the past three
years;
c. Off-site tracking of industrial or waste materials or
sediment where vehicles enter or exit the site;
d. Tracking or blowing of raw, final, or waste materials
from areas of no exposure to exposed areas;
e. Evidence of, or the potential for, pollutants entering
the drainage system;
f. Evidence of pollutants discharging to surface waters at
all facility outfalls, and the condition of and around the outfall, including
flow dissipation measures to prevent scouring;
g. Review of stormwater related training performed,
inspections completed, maintenance performed, quarterly visual examinations,
and effective operation of control measures, including BMPs;
h. A summary of the annual outfall evaluation for
unauthorized discharges required by subdivision D 2 of this section.
i. Results of both visual and any analytical monitoring
done during the past year shall be taken into consideration during the
evaluation.
2. Based on the results of the evaluation, the SWPPP shall
be modified as necessary (e.g., show additional controls on the map required by
Part III B 2 c; revise the description of controls required by Part III B 4 to
include additional or modified control measures designed to correct problems
identified). Revisions to the SWPPP shall be completed within 30 days following
the evaluation, unless permission for a later date is granted in writing by the
director. If existing control measures need to be modified or if additional
control measures are necessary, implementation shall be completed before the
next anticipated storm event, if practicable, but not more than 60 days after
completion of the comprehensive site evaluation, unless permission for a later
date is granted in writing by the department.
3. Compliance evaluation report. A report shall be written
summarizing the scope of the evaluation, name(s) of personnel making the
evaluation, the date of the evaluation, and all observations relating to the
implementation of the SWPPP, including elements stipulated in Part III E 1 (a)
through (i) above. Observations shall include such things as: the location(s)
of discharges of pollutants from the site; location(s) of previously unidentified
sources of pollutants; location(s) of control measures that need to be
maintained or repaired; location(s) of failed control measures that need
replacement; and location(s) where additional control measures are needed. The
report shall identify any incidents of noncompliance that were observed. Where
a report does not identify any incidents of noncompliance, the report shall
contain a certification that the facility is in compliance with the SWPPP and
this permit. The report shall be signed in accordance with Part II K and
maintained with the SWPPP.
4. Where compliance evaluation schedules overlap with
routine inspections required under Part III B 5 the annual compliance
evaluation may be used as one of the routine inspections.
F. E. Signature and plan SWPPP
review.
1. Signature and location. The SWPPP, including revisions to the SWPPP to document any corrective actions taken as required by Part I A 6, shall be signed in accordance with Part II K, dated, and retained on-site at the facility covered by this permit in accordance with Part II B 2. All other changes to the SWPPP, and other permit compliance documentation, shall be signed and dated by the person preparing the change or documentation. For inactive and unstaffed facilities, the plan may be kept at the nearest office of the permittee.
2. Availability. The permittee shall retain a copy of the current SWPPP required by this permit at the facility, and it shall be immediately available to the department, EPA, or the operator of an MS4 receiving discharges from the site at the time of an on-site inspection or upon request.
3. Required modifications. The permittee shall modify the SWPPP
whenever necessary to address all corrective actions required by Part I A 6 a
(Data exceeding benchmark concentration values) or Part I A 6 b (Corrective
actions). Changes to the SWPPP shall be made in accordance with the corrective
action deadlines in Part I A 6 a and Part I A 6 b, and shall be signed and
dated in accordance with Part III F 1 E 1.
The director may notify the permittee at any time that the SWPPP, control measures, or other components of the facility's stormwater program do not meet one or more of the requirements of this permit. The notification shall identify specific provisions of the permit that are not being met, and may include required modifications to the stormwater program, additional monitoring requirements, and special reporting requirements. The permittee shall make any required changes to the SWPPP within 60 days of receipt of such notification, unless permission for a later date is granted in writing by the director, and shall submit a written certification to the director that the requested changes have been made.
G. F. Maintaining an updated SWPPP.
1. The permittee shall review and amend the SWPPP as appropriate whenever:
a. There is construction or a change in design, operation, or maintenance at the facility that has a significant effect on the discharge, or the potential for the discharge, of pollutants from the facility;
b. Routine inspections or compliance evaluations determine that there are deficiencies in the control measures, including BMPs;
c. Inspections by local, state, or federal officials determine that modifications to the SWPPP are necessary;
d. There is a significant spill, leak, or other release at the facility;
e. There is an unauthorized discharge from the facility; or
f. The department notifies the permittee that a TMDL has been
developed and applies to the permitted facility, consistent with Part I B,
special condition 7 (Discharges to waters subject to TMDL wasteload
allocations).
2. SWPPP modifications shall be made within 30 60 calendar
days after discovery, observation or event requiring a SWPPP modification.
Implementation of new or modified control measures (distinct from regular
preventive maintenance of existing control measures described in Part III C)
shall be initiated before the next storm event if possible, but no later than
60 days after discovery, or as otherwise provided or approved by the director. The
amount of time taken to modify a control measure or implement additional
control measures shall be documented in the SWPPP.
3. If the SWPPP modification is based on a significant
spill, leak, release, or unauthorized discharge, include a
description and date of the release incident, the circumstances
leading to the release incident, actions taken in response to the
release incident, and measures to prevent the recurrence of such
releases. Unauthorized releases and discharges are subject to the
reporting requirements of Part II G of this permit.
Part IV
Sector Specific Permit Requirements
The permittee must only comply with the additional
requirements of Part IV (9VAC25-151-90 et seq.) that apply to the sector(s)
sectors of industrial activity located at the facility. These sector
specific requirements are in addition to the "basic"
requirements specified in Parts I, II and III of this permit. All numeric
effluent limitations and benchmark monitoring concentration values reflect two
significant digits, unless otherwise noted.
9VAC25-151-90. Sector A - Timber products facilities (including mulch, wood, and bark facilities and mulch dyeing facilities).
A. Discharges covered under this section. 1. The
requirements listed under this section apply to stormwater discharges
associated with industrial activity from facilities generally classified under Standard
Industrial Classification (SIC) Major Group 24 SIC Codes 2491 and 2499
that are engaged in the following activities: cutting timber and pulpwood
(those that have log storage or handling areas), mills, including merchant,
lath, shingle, cooperage stock, planing, plywood and veneer, and producing
lumber and wood materials; wood preserving, manufacturing wood buildings
or mobile homes; and manufacturing finished articles made entirely of wood or related
materials, except for wood kitchen cabinet manufacturers (SIC Code 2434), which
are addressed under Sector W (9VAC25-151-300). and mulch, wood, and bark
facilities, including mulch dyeing operations (SIC Code 24991303).
2. The requirements listed under this section also apply to
stormwater discharges associated with industrial activity from mulch, wood, and
bark facilities, including mulch dyeing operations (SIC Code 24991303).
B. Special conditions.
1. Prohibition of nonstormwater discharges. Discharges of stormwater from areas where there may be contact with chemical formulations sprayed to provide surface protection are not authorized by this permit. These discharges must be covered under a separate VPDES permit. Discharge of wet dye drippings from mulch dyeing operations are also prohibited.
2. Authorized nonstormwater discharges. In addition to the discharges described in Part I B 1, the following nonstormwater discharges may be authorized by this permit provided the nonstormwater component of the discharge is in compliance with 9VAC25-151-90 C and the effluent limitations described in 9VAC25-151-90 D: discharges from the spray down of lumber and wood product storage yards where no chemical additives are used in the spray down waters and no chemicals are applied to the wood during storage.
C. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the SWPPP shall include, at a
minimum, the following items.
1. Site description.
a. Site map. The site map shall identify where any of the
following may be exposed to precipitation or surface runoff: processing areas;
treatment chemical storage areas; treated wood and residue storage areas; wet
decking areas; dry decking areas; untreated wood and residue storage areas; and
treatment equipment storage areas.
b. Summary of potential pollutant sources. Where
information is available, facilities that have used chlorophenolic, creosote,
or chromium-copper-arsenic formulations for wood surface protection or wood
preserving activities on-site in the past shall identify in the inventory the
following: areas where contaminated soils, treatment equipment, and stored
materials still remain, and the management practices employed to minimize the
contact of these materials with stormwater runoff.
2. C. Stormwater controls. The description of
stormwater management controls shall address the following areas of the site:
log, lumber and wood product storage areas; residue storage areas; loading and
unloading areas; material handling areas; chemical storage areas; and equipment
and vehicle maintenance, storage and repair areas. Facilities that surface
protect or preserve wood products shall address specific control measures,
including any BMPs, for wood surface protection and preserving activities.
Facilities that dye mulch shall address specific control measures to prevent
the discharge of wet dye drippings and to prevent seepage of pollutants to
groundwater.
The SWPPP shall address the following minimum components:
a. 1. Good housekeeping. Good housekeeping
measures in storage areas, loading and unloading areas, and material handling
areas shall be designed to:
(1) a. Limit the discharge of wood debris;
(2) b. Minimize the leachate generated from
decaying wood materials; and
(3) c. Minimize the generation of dust.
b. 2. Routine facility inspections. Inspections
at processing areas, transport areas, and treated wood storage areas of
facilities performing wood surface protection and preservation activities shall
be performed monthly to assess the usefulness of practices in minimizing the
deposit of treatment chemicals on unprotected soils and in areas that will come
in contact with stormwater discharges. The requirement for routine facility
inspections is waived for facilities that have maintained an active VEEP E3/E4
status.
D. Numeric effluent limitations.
In addition to the numeric effluent limitations described in Part I A 1 c, the following limitations shall be met by existing and new facilities.
Wet deck storage area runoff. Nonstormwater discharges from areas used for the storage of logs where water, without chemical additives, is intentionally sprayed or deposited on logs to deter decay or infestation by insects are required to meet the following effluent limitations: pH shall be within the range of 6.0-9.0, and there will be no discharge of debris. Chemicals are not allowed to be applied to the stored logs. The term "debris" is defined as woody material such as bark, twigs, branches, heartwood or sapwood that will not pass through a 2.54 cm (1 in.) diameter round opening and is present in the discharge from a wet deck storage area. Permittees subject to these numeric limitations shall be in compliance with these limitations through the duration of permit coverage.
Table 90-1 |
|
Parameter |
Effluent Limitations |
Wet Decking Discharges at Log Storage and Handling Areas (SIC Code 2411) |
|
pH |
6.0 - 9.0 s.u. |
Debris (woody material such as bark, twigs, branches, heartwood, or sapwood) |
No discharge of debris that will not pass through a 2.54 cm (1") diameter round opening. |
E. Benchmark monitoring and reporting requirements. Timber
product Wood preserving facilities; mulch, wood, and bark facilities;
and mulch dyeing facilities are required to monitor their stormwater discharges
for the pollutants of concern listed in the appropriate section of Table 90-2.
Table 90-2 |
||
Pollutants of Concern |
Benchmark Concentration |
|
|
||
|
|
|
Wood Preserving Facilities (SIC Code 2491) |
||
Total Recoverable Arsenic1 |
50 μg/L |
|
Total Recoverable Chromium1 |
16 μg/L |
|
Total Recoverable Copper1 |
18 μg/L |
|
|
||
|
|
|
|
||
|
|
|
Mulch, Wood, and Bark Facilities (SIC Code 24991303) |
||
Total Suspended Solids (TSS) |
100 mg/L |
|
|
|
|
Facilities with Mulch Dyeing/Coloring Operations (SIC Code 24991303): Monitor ONLY those outfalls from the facility that collect runoff from areas where mulch dyeing/coloring activities occur, including but not limited to areas where loading, transporting, and storage of dyed/colored mulch occurs.2 |
||
|
Total Suspended Solids (TSS) |
100 mg/L |
|
Biochemical Oxygen Demand (BOD5) |
30 mg/L |
|
Chemical Oxygen Demand (COD) |
120 mg/L |
|
Total Recoverable Aluminum |
750 μg/L |
|
Total Recoverable Arsenic |
150 μg/L |
|
Total Recoverable Cadmium |
2.1 μg/L |
|
Total Recoverable Chromium |
16 μg/L |
|
Total Recoverable Copper |
18 μg/L |
|
Total Recoverable Iron |
1.0 mg/L |
|
|
|
|
|
|
|
|
|
|
|
|
|
Total Recoverable Selenium |
5.0 μg/L |
|
Total Recoverable Silver |
3.8 μg/L |
|
Total Recoverable Zinc |
120 μg/L |
|
Total Nitrogen |
2.2 mg/L |
|
Total Phosphorus |
2.0 mg/L |
1Monitoring for metals (arsenic, chromium and copper) is not required for wood preserving facilities using only oil-based preservatives. |
||
2Benchmark monitoring waivers are available to
facilities utilizing mulch dye or colorant products that do not contain the specified
parameters provided that: (i) monitoring from samples collected during one
monitoring period demonstrates that the specific parameter in question is
below the quantitation level; (ii) a waiver request with attached
laboratory certificate of analysis is submitted to and approved by the
board |
9VAC25-151-100. Sector B - Paper and allied products manufacturing.
A. Discharges covered under this section. The requirements
listed under this section apply to storm water stormwater discharges
associated with industrial activity from facilities generally classified under
as paperboard mills, SIC Major Group 26 that are engaged in the
following activities: the manufacture of pulps from wood and other cellulose
fibers and from rags; the manufacture of paper and paperboard into converted
products, such as paper coated off the paper machine, paper bags, paper boxes
and envelopes; and the manufacture of bags of plastic film and sheet Code
2631.
B. Benchmark monitoring and reporting requirements. Paperboard
mills are required to monitor their storm water stormwater
discharges for the pollutants pollutant of concern listed in
Table 100.
Table 100. |
|
Pollutants of Concern |
Benchmark Concentration |
Paperboard Mills (SIC Code 2631) |
|
Biochemical Oxygen Demand (BOD5) |
30 mg/L |
9VAC25-151-110. Sector C - Chemical and allied products manufacturing.
A. Discharges covered under this section. The requirements listed under this section apply to stormwater discharges associated with industrial activity from facilities engaged in manufacturing the following products and generally described by the SIC code shown:
1. Basic industrial Industrial inorganic
chemicals (including SIC Code 281) Codes 2812-2819);
2. Plastic materials and synthetic resins, synthetic rubbers,
and cellulosic and other humanmade synthetic fibers, except glass
(including SIC Code 282) Codes 2821-2824);
3. Medicinal chemicals and pharmaceutical products,
including the grading, grinding and milling of botanicals (including SIC Code
283);
4. 3. Soap and other detergents, including
facilities producing glycerin from vegetable and animal fats and oils;
specialty cleaning, polishing, and sanitation preparations; surface active
preparations used as emulsifiers, wetting agents, and finishing agents,
including sulfonated oils; and perfumes, cosmetics, and other toilet
preparations (including SIC Code 284) Codes 2841-2844); and
5. Paints (in paste and ready-mixed form); varnishes;
lacquers; enamels and shellac; putties, wood fillers, and sealers; paint and
varnish removers; paint brush cleaners; and allied paint products (including
SIC Code 285);
6. Industrial organic chemicals (including SIC Code 286);
7. 4. Nitrogenous and phosphatic basic
fertilizers, mixed fertilizer, pesticides, and other agricultural chemicals (including
SIC Code 287) (SIC Codes 2873-2879). Note: SIC Code 287 includes
Composting Facilities (SIC Code 2875) are included.
8. Industrial and household adhesives, glues, caulking
compounds, sealants, and linoleum, tile, and rubber cements from vegetable,
animal, or synthetic plastics materials; explosives; printing ink, including
gravure ink, screen process and lithographic inks; miscellaneous chemical
preparations, such as fatty acids, essential oils, gelatin (except vegetable),
sizes, bluing, laundry sours, and writing and stamp pad ink; industrial
compounds, such as boiler and heat insulating compounds; and chemical supplies
for foundries (including SIC Code 289); and
9. Ink and paints, including china painting enamels, India
ink, drawing ink, platinum paints for burnt wood or leather work, paints for
china painting, artists' paints and artists' water colors (SIC Code 3952,
limited to those listed; for others in SIC Code 3952 not listed above, see
Sector Y (9VAC25-151-320)).
B. Special conditions. Prohibition of nonstormwater
discharges. In addition to the general prohibition of nonstormwater discharges
in Part I B 1, the following discharges are not covered by this permit: inks,
paints, or substances (hazardous, nonhazardous, etc.) resulting from an on-site
spill, including materials collected in drip pans; washwaters from material
handling and processing areas; or washwaters from drum, tank, or container
rinsing and cleaning.
C. B. Numeric effluent limitations. In addition
to the numeric effluent limitations described in Part I A 1 c, the following
effluent limitations shall be met by existing and new discharges with phosphate
fertilizer manufacturing runoff. The provisions of this paragraph are
applicable to stormwater discharges from the phosphate subcategory of the
fertilizer manufacturing point source category (40 CFR 418.10). The term
contaminated stormwater runoff shall mean precipitation runoff, that during
manufacturing or processing, comes into contact with any raw materials,
intermediate product, finished product, by-products or waste product. The
concentration of pollutants in stormwater discharges shall not exceed the
effluent limitations in Table 110-1.
Table 110-1 |
||
Parameter |
Effluent Limitations |
|
Daily Maximum |
30-day Average |
|
Phosphate Subcategory of the Fertilizer Manufacturing Point Source Category (40 CFR 418.10) - applies to precipitation runoff that, during manufacturing or processing, comes into contact with any raw materials, intermediate product, finished product, by-products or waste product (SIC Code 2874) |
||
Total Phosphorus (as P) |
105 mg/L |
35 mg/L |
Fluoride |
75 mg/L |
25 mg/L |
D. C. Benchmark monitoring and reporting
requirements. Agricultural chemical manufacturing facilities; industrial
inorganic chemical facilities; soaps, detergents, cosmetics, and perfume
manufacturing facilities; and plastics, synthetics, and resin manufacturing
facilities are required to monitor their stormwater discharges for the
pollutants of concern listed in Table 110-2 below.
Table 110-2 |
|
Pollutants of Concern |
Benchmark Concentration |
Agricultural Chemicals (SIC Codes 2873-2879) |
|
Total Nitrogen |
2.2 mg/L |
Total Recoverable Iron |
1.0 mg/L |
Total Recoverable Zinc |
120 μg/L |
Total Phosphorus |
2.0 mg/L |
Industrial Inorganic Chemicals (SIC Codes 2812-2819) |
|
Total Recoverable Aluminum |
750 μg/L |
Total Recoverable Iron |
1.0 mg/L |
Total Nitrogen |
2.2 mg/L |
Soaps, Detergents, Cosmetics, and Perfumes (SIC Codes 2841-2844) |
|
Total Nitrogen |
2.2 mg/L |
Total Recoverable Zinc |
120 μg/L |
Plastics, Synthetics, and Resins (SIC Codes 2821-2824) |
|
Total Recoverable Zinc |
120 μg/L |
Composting Facilities (SIC Code 2875) |
|
Total Suspended Solids (TSS) |
100 mg/L |
Biochemical Oxygen Demand (BOD5) |
30 mg/L |
Chemical Oxygen Demand (COD) |
120 mg/L |
Ammonia |
2.14 mg/L |
Total Nitrogen |
2.2 mg/L |
Total Phosphorus |
2.0 mg/L |
9VAC25-151-130. Sector E - Glass, clay Clay,
cement, concrete, and gypsum products.
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with
industrial activity from facilities generally classified under SIC Major
Group 32 Codes 3251‑3259, 3261‑3269, 3274, and 3275 that
are engaged in either manufacturing the following products or performing the
following activities: flat, pressed, or blown glass or glass containers;
hydraulic cement; structural clay products including tile and brick;
pottery and porcelain electrical supplies; and concrete, plaster, and
gypsum products; nonclay refractories; minerals and earths, ground or
otherwise treated; lime manufacturing; cut stone and stone products; asbestos
products; and mineral wool and mineral wool insulation products.
Concrete block and brick facilities (SIC Code 3271), concrete products facilities, except block and brick (SIC Code 3272), and ready-mixed concrete facilities (SIC Code 3273) are not covered by this permit.
B. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the plan shall include, at a minimum,
the following items:
1. Site description and site map. The site map shall
identify the locations of the following, if applicable: bag house or other dust
control device; recycle or sedimentation pond, clarifier or other device used
for the treatment of process wastewater and the areas that drain to the treatment
device.
2. Stormwater controls. Good housekeeping.
a. B. Stormwater controls. In addition to the
requirements of Part III, the SWPPP shall include, at a minimum, the following
items:
1. Facilities shall prevent or minimize the discharge
of: spilled cement; aggregate (including sand or gravel); kiln dust; fly ash;
settled dust; and other significant materials in stormwater from paved portions
of the site that are exposed to stormwater. Measures used to minimize the
presence of these materials may include regular sweeping, or other equivalent
measures. The plan SWPPP shall indicate the frequency of sweeping
or equivalent measures. The frequency shall be determined based upon
consideration of the amount of industrial activity occurring in the area and
frequency of precipitation, but shall not be less than once per week if cement,
aggregate, kiln dust; fly ash, or settled dust are being handled or processed.
b. 2. Facilities shall prevent the exposure of
fine granular solids (such as cement, fly ash, kiln dust, etc.) to stormwater.
Where practicable, these materials shall be stored in enclosed silos or
hoppers, buildings, or under other covering.
C. Numeric effluent limitations. In addition to the numeric
effluent limitations described by Part I A 1 c, the following limitations shall
be met by existing and new facilities: with cement
manufacturing facility, and material storage runoff. Any
discharge composed of runoff that derives from the storage of materials,
including raw materials, intermediate products, finished products, and waste
materials that are used in or derived from the manufacture of cement,
shall not exceed the limitations in Table 130-1. Runoff from the storage piles
shall not be diluted with other stormwater runoff or flows to meet these limitations.
Any untreated overflow from facilities designed, constructed and operated to
treat the volume of material storage pile runoff that is associated with a
10-year, 24-hour rainfall event shall not be subject to the TSS or pH
limitations. Facilities subject to these numeric effluent limitations shall
be in compliance with these limits upon commencement of coverage and for the
entire term of this permit.
Table 130-1 |
||
Parameter |
Effluent Limitations |
|
Daily Maximum |
30-day Average |
|
Cement Manufacturing Facility, Material Storage Runoff: Any discharge composed of runoff that derives from the storage of materials including raw materials, intermediate products, finished products, and waste materials that are used in or derived from the manufacture of cement. |
||
Total Suspended Solids (TSS) |
50 mg/L |
|
pH |
6.0 - 9.0 s.u. |
D. Benchmark monitoring and reporting requirements. Clay product manufacturers (SIC Codes 3251‑3259, SIC Codes 3261‑3269) and lime and gypsum product manufacturers (SIC Codes 3274, 3275) are required to monitor their stormwater discharges for the pollutants of concern listed in Table 130-2.
Table 130-2 |
|
Pollutants of Concern |
Benchmark Concentration |
Clay Product Manufacturers (SIC Codes 3251‑3259, 3261‑3269) |
|
Total Recoverable Aluminum |
750 ug/L |
Lime and Gypsum Product Manufacturers (SIC Codes 3274, 3275) |
|
Total Suspended Solids (TSS) |
100 mg/L |
pH |
6.0 - 9.0 s.u. |
Total Recoverable Iron |
1.0 mg/L |
9VAC25-151-140. Sector F - Primary metals.
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with
industrial activity from the following types of facilities in the primary metal
industry, and generally described by the SIC code codes shown:
1. Steel works, blast furnaces, and rolling and finishing
mills, including: steel wire drawing and steel nails and spikes; cold-rolled
steel sheet, strip, and bars; and steel pipes and tubes (SIC Code 331) Codes
3312-3317).
2. Iron and steel foundries, including: gray and ductile iron,
malleable iron, steel investment, and steel foundries not elsewhere classified
(SIC Code 332) Codes 3321-3325).
3. Primary smelting and refining of nonferrous metals,
including: primary smelting and refining of copper, and primary production of
aluminum (SIC Code 333).
4. Secondary smelting and refining of nonferrous metals (SIC
Code 334).
5. 3. Rolling, drawing, and extruding of
nonferrous metals, including: rolling, drawing, and extruding of copper;
rolling, drawing and extruding of nonferrous metals except copper and aluminum;
and drawing and insulating of nonferrous wire (SIC Code 335) Codes
3351-3357).
6. 4. Nonferrous foundries (castings), including:
aluminum die-castings, nonferrous die-castings, except aluminum, aluminum
foundries, copper foundries, and nonferrous foundries, except copper and
aluminum (SIC Code 336) Codes 3363-3369).
7. Miscellaneous primary metal products, not elsewhere
classified, including: metal heat treating, and primary metal products, not
elsewhere classified (SIC Code 339).
Activities covered include, but are not limited to,
stormwater discharges associated with coking operations, sintering plants,
blast furnaces, smelting operations, rolling mills, casting operations, heat
treating, extruding, drawing, or forging of all types of ferrous and nonferrous
metals, scrap, and ore.
B. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the plan shall include, at a minimum,
the following items.
1. Site description.
a. Site map. The site map shall identify where any of the
following activities may be exposed to precipitation or surface runoff: storage
or disposal of wastes such as spent solvents and baths, sand, slag and dross;
liquid storage tanks and drums; processing areas including pollution control
equipment (e.g., baghouses); and storage areas of raw materials such as coal,
coke, scrap, sand, fluxes, refractories, or metal in any form. In addition,
indicate sources where an accumulation of significant amounts of particulate
matter could occur from such sources as furnace or oven emissions, losses from
coal and coke handling operations, etc., and that could result in a discharge
of pollutants to surface waters.
b. Summary of potential pollutant sources. The inventory of
materials handled at the site that potentially may be exposed to precipitation
or runoff shall include areas where deposition of particulate matter from
process air emissions or losses during material handling activities are
possible.
2. Stormwater controls.
a. Good housekeeping. The permittee shall implement
the following measures, or equivalent measures, where applicable.
(1) Establishment of a cleaning and maintenance program for
all impervious areas of the facility where particulate matter, dust, or debris
may accumulate, especially areas where material loading and unloading, storage,
handling, and processing occur.
(2) The paving of areas, where practicable, where vehicle
traffic or material storage occur, but where vegetative or other stabilization
methods are not practicable. Sweeping programs shall be instituted in these
areas as well.
(3) For unstabilized areas of the facility where sweeping
is not practical, the permittee shall consider using stormwater management
devices such as sediment traps, vegetative buffer strips, filter fabric fence,
sediment filtering boom, gravel outlet protection, or other equivalent
measures, that effectively trap or remove sediment.
b. Routine facility inspections. Inspections shall be
conducted quarterly. The requirement for routine facility inspections is waived
for facilities that have maintained an active VEEP E3/E4 status. Inspections
shall address all potential sources of pollutants, including (if applicable):
(1) Air pollution control equipment (e.g., baghouses,
electrostatic precipitators, scrubbers, and cyclones) shall be inspected for
any signs of degradation (e.g., leaks, corrosion, or improper operation) that
could limit their efficiency and lead to excessive emissions. The permittee
shall consider monitoring air flow at inlets and outlets, or equivalent
measures, to check for leaks (e.g., particulate deposition) or blockage in
ducts;
(2) All process or material handling equipment (e.g.,
conveyors, cranes, and vehicles) shall be inspected for leaks, drips, or the
potential loss of materials; and
(3) Material storage areas (e.g., piles, bins or hoppers
for storing coke, coal, scrap, or slag, as well as chemicals stored in tanks
and drums) shall be examined for signs of material losses due to wind or
stormwater runoff.
C. B. Benchmark monitoring and reporting
requirements. Primary metals facilities are required to monitor their
stormwater discharges for the pollutants of concern listed in Table 140 below.
Table 140 |
|
Pollutants of Concern |
Benchmark Concentration |
Steel Works, Blast Furnaces, and Rolling and Finishing Mills (SIC Codes 3312-3317) |
|
Total Recoverable Aluminum |
750 μg/L |
Total Recoverable Zinc |
120 μg/L |
Iron and Steel Foundries (SIC Codes 3321-3325) |
|
Total Recoverable Aluminum |
750 μg/L |
Total Suspended Solids (TSS) |
100 mg/L |
Total Recoverable Copper |
18 μg/L |
Total Recoverable Iron |
1.0 mg/L |
Total Recoverable Zinc |
120 μg/L |
Rolling, Drawing, and Extruding of Nonferrous Metals (SIC Codes 3351-3357) |
|
Total Recoverable Copper |
18 μg/L |
Total Recoverable Zinc |
120 μg/L |
Nonferrous Foundries (SIC Codes 3363-3369) |
|
Total Recoverable Copper |
18 μg/L |
Total Recoverable Zinc |
120 μg/L |
9VAC25-151-150. Sector G - Metal mining (ore mining and dressing).
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with industrial
activity from active, temporarily inactive and inactive metal mining and ore
dressing facilities including mines abandoned on federal lands, as classified
under SIC Major Group 10. Coverage is required for facilities that discharge
stormwater that has come into contact with, or is contaminated by, any
overburden, raw material, intermediate product, finished product, byproduct, or
waste product located on the site of the operation. SIC Major Group 10 includes
establishments primarily engaged in mining of ores, developing mines, or
exploring for metallic minerals (ores) and also includes ore dressing and
beneficiating operations, whether performed at colocated, dedicated mills or at
separate mills, such as custom mills. For the purposes of this section, the
term "metal mining" includes any of the separate activities listed above
in this subsection. Covered discharges include:
1. All stormwater discharges from inactive facilities;
2. Stormwater discharges from the following areas of active and temporarily inactive metal mining facilities: waste rock and overburden piles if composed entirely of stormwater and not combining with mine drainage; topsoil piles; off-site haul and access roads; on-site haul and access roads constructed of waste rock and overburden if composed entirely of stormwater and not combining with mine drainage; on-site haul and access roads not constructed of waste rock, overburden, or spent ore except if mine drainage is used for dust control; runoff from tailings dams and dikes when not constructed of waste rock or tailings and no process fluids are present; runoff from tailings dams or dikes when constructed of waste rock or tailings and no process fluids are present if composed entirely of stormwater and not combining with mine drainage; concentration building if no contact with material piles; mill site if no contact with material piles; office or administrative building and housing if mixed with stormwater from industrial area; chemical storage area; docking facility if no excessive contact with waste product that would otherwise constitute mine drainage; explosive storage; fuel storage; vehicle and equipment maintenance area and building; parking areas (if necessary); power plant; truck wash areas if no excessive contact with waste product that would otherwise constitute mine drainage; unreclaimed, disturbed areas outside of active mining area; reclaimed areas released from reclamation bonds prior to December 17, 1990; and partially or inadequately reclaimed areas or areas not released from reclamation bonds;
3. Stormwater discharges from exploration and development of metal mining and ore dressing facilities; and
4. Stormwater discharges from facilities at mining sites undergoing reclamation.
B. Limitations on coverage. Stormwater discharges from active metal mining facilities that are subject to the effluent limitation guidelines for the Ore Mining and Dressing Point Source Category (40 CFR Part 440) are not authorized by this permit.
Note: Discharges that come in contact with overburden
and waste rock are subject to 40 CFR Part 440, providing: the discharges drain
to a point source (either naturally or as a result of intentional diversion),
and they combine with mine drainage that is otherwise regulated under 40 CFR
Part 440. Discharges from overburden and waste rock can be covered under this
permit if they are composed entirely of stormwater and do not combine with
sources of mine drainage that are subject to 40 CFR Part 440.
C. Special Conditions. Prohibition of nonstormwater discharges. In addition to the general prohibition of nonstormwater discharges in Part I B 1, the following discharge is not covered by this permit: adit drainage. Contaminated seeps and springs discharging from waste rock dumps that do not directly result from precipitation events are also not authorized by this permit.
D. Special definitions. The following definitions are not intended to supersede the definitions of active and inactive mining facilities established by 40 CFR 122.26(b)(14)(iii), and are only for this section of the general permit:
"Active metal mining facility" means a place where work or other related activity to the extraction, removal, or recovery of metal ore is being conducted. For surface mines, this definition does not include any land where grading has returned the earth to a desired contour and reclamation has begun.
"Active phase" means activities including the extraction, removal, or recovery of metal ore. For surface mines, this definition does not include any land where grading has returned the earth to a desired contour and reclamation has begun.
"Construction phase" means the building of site access roads and removal of overburden and waste rock to expose mineable minerals. The construction phase is not considered part of "mining operations."
"Exploration phase" entails means
exploration and land disturbance activities to determine the financial
viability of a site. The exploration phase is not considered part of
"mining operations."
"Final stabilization" - means a site
or portion of a site is "finally stabilized" when where
all applicable federal and state reclamation requirements have been
implemented.
"Inactive metal mining facility" means a site or portion of a site where metal mining or milling occurred in the past but is not an active facility as defined in this permit, and where the inactive portion is not covered by an active mining permit issued by the applicable federal or state agency. An inactive metal mining facility has an identifiable owner or operator. Sites where mining claims are being maintained prior to disturbances associated with the extraction, beneficiation, or processing of mined materials and sites where minimal activities are undertaken for the sole purpose of maintaining a mining claim are not considered either active or inactive mining facilities and do not require a VPDES industrial stormwater permit.
"Mining operation" consists of means
the active and temporarily inactive phases and the reclamation phase, but
excludes the exploration and construction phases.
"Reclamation phase" means activities undertaken, in compliance with applicable mined land reclamation requirements, following the cessation of the "active phase," intended to return the land to an appropriate post-mining land use in order to meet applicable federal and state reclamation requirements. The reclamation phase is considered part of "mining operations."
"Temporarily inactive metal mining facility" means a site or portion of a site where metal mining or milling occurred in the past but currently are not being actively undertaken, and the facility is covered by an active mining permit issued by the applicable federal or state agency.
E. Clearing, grading, and excavation activities. Clearing, grading, and excavation activities being conducted as part of the exploration and construction phase of mining activities are covered under this permit.
1. Management practices for clearing, grading, and excavation activities.
a. Selecting and installing control measures. A combination of erosion and sedimentation control measures are required to achieve maximum pollutant prevention and removal. All control measures shall be properly selected, installed, and maintained in accordance with any relevant manufacturer specifications and good engineering practices.
b. Good housekeeping. Litter, debris, and chemicals shall be prevented from becoming a pollutant source in stormwater discharges.
c. Retention and detention of stormwater runoff. For drainage locations serving more than one acre, sediment basins or temporary sediment traps should be used. At a minimum, silt fences, vegetative buffer strips, or equivalent sediment controls are required for all down slope boundaries (and for those side slope boundaries deemed appropriate as dictated by individual site conditions) of the development area unless a sediment basin providing storage for a calculated volume of runoff from a two-year, 24-hour storm or 3,600 cubic feet of storage per acre drained is provided. Sediment shall be removed from sediment traps or sedimentation ponds when the design capacity has been reduced by 50%.
d. Temporary stabilization of disturbed areas. Stabilization measures shall be initiated immediately in portions of the site where development activities have temporarily ceased, but in no case more than 14 days after the clearing, grading, and excavation activities in that portion of the site have temporarily ceased. In arid, semi-arid, and drought-stricken areas, or in areas subject to snow or freezing conditions, where initiating perennial vegetative stabilization measures is not possible within 14 days after mining, exploration, or construction activity has temporarily ceased, final temporary vegetative stabilization measures shall be initiated as soon as practicable. Until temporary vegetative stabilization is achieved, interim measures such as erosion control blankets with an appropriate seed base and tackifiers shall be employed. In areas of the site where exploration or construction has permanently ceased prior to active mining, temporary stabilization measures shall be implemented to minimize mobilization of sediment or other pollutants until such time as the active mining phase commences.
2. Requirements for inspection of clearing, grading, and excavation activities.
a. Inspection frequency. Inspections shall be conducted at least once every seven calendar days or at least once every 14 calendar days and within 24 hours of the end of a storm event of 0.5 inches or greater. Inspection frequency may be reduced to at least once every month if the entire site is temporarily stabilized, if runoff is unlikely due to winter (e.g., site is covered with snow or ice) or frozen conditions, or construction is occurring during seasonal dry periods in arid areas and semi-arid areas.
b. Location of inspections. Inspections shall include all areas of the site disturbed by clearing, grading, and excavation activities and areas used for storage of materials that are exposed to precipitation. Sedimentation and erosion control measures identified in the SWPPP shall be observed to ensure proper operation. Discharge locations shall be inspected to ascertain whether erosion control measures are effective in preventing significant impacts to surface waters, where accessible. Where discharge locations are inaccessible, nearby downstream locations shall be inspected to the extent that such inspections are practicable. Locations where vehicles enter or exit the site shall be inspected for evidence of off-site sediment tracking.
c. Inspection reports. For each inspection required above
in this subsection, an inspection report shall be completed. At a
minimum, the inspection report shall include:
(1) The inspection date;
(2) Names, titles, and qualifications of personnel making the inspection;
(3) Weather information for the period since the last inspection (or note if it is the first inspection) including a best estimate of the beginning of each storm event, duration of each storm event, approximate amount of rainfall for each storm event (in inches), and whether any discharges occurred;
(4) Weather information and a description of any discharges occurring at the time of the inspection;
(5) Location(s) Locations of discharges of
sediment or other pollutants from the site;
(6) Location(s) Locations of control measures
that need to be maintained;
(7) Location(s) Locations of control measures
that failed to operate as designed or proved inadequate for a particular
location;
(8) Location(s) Locations where additional
control measures are needed that did not exist at the time of inspection; and
(9) Corrective action(s) actions required,
including any changes to the SWPPP necessary and implementation dates.
A record of each inspection and of any actions taken in
accordance with this section shall be retained as part of the SWPPP for at
least three years from the date that permit coverage expires or is terminated.
The inspection reports shall identify any incidents of noncompliance with the
permit conditions. Where a report does not identify any incidents of
noncompliance, the report shall contain a certification that the clearing,
grading, and excavation activities are in compliance with the SWPPP and this
permit. The report shall be signed in accordance with Part II K of the
permit.
3. Requirements for cessation of clearing, grading, and excavation activities.
a. Inspections and maintenance. Inspections and maintenance of control measures, including BMPs, associated with clearing, grading, and excavation activities being conducted as part of the exploration and construction phase of a mining operation shall continue until final stabilization has been achieved on all portions of the disturbed area, or until the commencement of the active mining phase for those areas that have been temporarily stabilized as a precursor to mining.
b. Final stabilization. Stabilization measures shall be initiated immediately in portions of the site where exploration or construction activities have permanently ceased, but in no case more than 14 days after the exploration or construction activity in that portion of the site has permanently ceased. In arid, semi-arid, and drought-stricken areas, or in areas subject to snow or freezing conditions, where initiating perennial vegetative stabilization measures is not possible within 14 days after exploration or construction activity has permanently ceased, final vegetative stabilization measures shall be initiated as soon as possible. Until final stabilization is achieved temporary stabilization measures, such as erosion control blankets with an appropriate seed base and tackifiers, shall be used.
F. Stormwater pollution prevention plan SWPPP
requirements for active, inactive, and temporarily inactive metal mining
facilities and sites undergoing reclamation. In addition to the requirements of
Part III, the plan SWPPP shall include, at a minimum, the
following items.
1. Site description.
a. Activities at the facility. A description of the mining and associated activities taking place at the site that can potentially affect stormwater discharges covered by this permit. The description shall include a general description of the location of the site relative to major transportation routes and communities.
b. Site map. The site map shall identify the locations of the
following, as appropriate: mining and milling site boundaries; access and haul
roads; an outline of the drainage areas of each stormwater outfall within the
facility, and an indication of the types of discharges from the drainage areas;
location(s) locations of all permitted discharges covered under
an individual VPDES permit; outdoor equipment storage, fueling and maintenance
areas; materials handling areas; outdoor manufacturing, storage or material
disposal areas; outdoor storage areas for chemicals and explosives; areas used
for storage of overburden, materials, soils or wastes; location of mine
drainage (where water leaves mine) or any other process water; tailings piles
and ponds, both proposed and existing; heap leach pads; points of discharge
from the property for mine drainage and process water; surface waters; boundary
of tributary areas that are subject to effluent limitations guidelines; and location(s)
locations of reclaimed areas.
2. Summary of potential pollutant sources. For each area of the
mine or mill site where stormwater discharges associated with industrial
activities occur, the plan SWPPP shall identify the types of
pollutants likely to be present in significant amounts (e.g., heavy metals,
sediment). The following factors shall be considered: the mineralogy of the ore
and waste rock (e.g., acid forming); toxicity and quantity of chemicals used,
produced or discharged; the likelihood of contact with stormwater; vegetation
of site, if any; and history of significant leaks and spills of toxic or hazardous
pollutants. A summary of any existing ore or waste rock and overburden
characterization data and test results for potential generation of acid rock
shall also be included. If the ore or waste rock and overburden
characterization data are updated due to a change in the ore type being mined,
the SWPPP shall be updated with the new data.
3. Stormwater controls.
a. Routine facility inspections. Except for areas subject to clearing, grading, and excavation activities subject to subdivision E 2 of this section, sites shall be inspected at least quarterly unless adverse weather conditions make the site inaccessible. The requirement for routine facility inspections is waived for facilities that have maintained an active VEEP E3/E4 status.
b. Employee training. Employee training shall be conducted at least annually at active mining and temporarily inactive sites. All employee training shall be documented in the SWPPP.
c. Structural control measures. In addition to the control
measures required by Part III B 4, each of the following control measures shall
be considered documented in the SWPPP. The potential pollutants
identified in subdivision 1 b 2 of this subsection shall
determine the priority and appropriateness of the control measures selected. If
control measures are implemented or planned but are not listed here (e.g.,
substituting a less toxic chemical for a more toxic one), descriptions of them
shall be included in the SWPPP.
(1) Stormwater diversion. A description of how and where
stormwater will be diverted away from potential pollutant sources to prevent
stormwater contamination. Control measure options may measures shall
include one or more of the following: interceptor dikes and swales;
diversion dikes, curbs and berms; pipe slope drains; subsurface drains;
drainage and stormwater conveyance systems (channels or gutters, open top box
culverts and waterbars; rolling dips and road sloping; roadway surface water
deflector and culverts) or equivalent measures.
(a) Interceptor dikes and swales;
(b) Diversion dikes, curbs, and berms;
(c) Pipe slope drains;
(d) Subsurface drains;
(e) Drainage and stormwater conveyance systems; or
(f) Equivalent measures.
(2) Capping. When capping of a contaminant source is necessary, the source being capped and materials and procedures used to cap the contaminant source shall be identified.
(3) Treatment. If treatment of a stormwater discharge is
necessary to protect water quality, include a description of the type and location
of stormwater treatment that will be used. Stormwater treatments include the
following: chemical or physical systems;, oil and water
separators;, artificial wetlands;, etc. The
permittee is encouraged to use both passive and active treatment of stormwater
runoff. Treated runoff may be discharged as a stormwater source regulated under
this permit provided the discharge is not combined with discharges subject to
effluent limitation guidelines for the Ore Mining and Dressing Point Source
Category (40 CFR Part 440).
(4) Certification of discharge testing. The permittee shall
test or evaluate all outfalls covered under this permit for the presence of
specific mining-related nonstormwater discharges such as seeps or adit
discharges or discharges subject to effluent limitations guidelines (e.g., 40
CFR Part 440), such as mine drainage or process water. Alternatively (if
applicable), the The permittee may certify in the SWPPP that a
particular discharge composed of commingled stormwater and nonstormwater is
covered under a separate VPDES permit; and that permit subjects the
nonstormwater portion to effluent limitations prior to any commingling. This
certification shall identify the nonstormwater discharges, the applicable VPDES
permit(s) permits, the effluent limitations placed on the
nonstormwater discharge by the permit(s) permits, and the points
at which the limitations are applied.
G. Termination of permit coverage.
1. Termination of permit coverage for sites reclaimed after December 17, 1990. A site or a portion of a site that has been released from applicable state or federal reclamation requirements after December 17, 1990, is no longer required to maintain coverage under this permit. If the site or portion of a site reclaimed after December 17, 1990, was not subject to reclamation requirements, the site or portion of the site is no longer required to maintain coverage under this permit if the site or portion of the site has been reclaimed as defined in subdivision 2 of this subsection.
2. Termination of permit coverage for sites reclaimed before December 17, 1990. A site or portion of a site that was released from applicable state or federal reclamation requirements before December 17, 1990, or that was otherwise reclaimed before December 17, 1990, is no longer required to maintain coverage under this permit if the site or portion of the site has been reclaimed. A site or portion of a site is considered to have been reclaimed if: (i) stormwater runoff that comes into contact with raw materials, intermediate byproducts, finished products, and waste products does not have the potential to cause or contribute to violations of state water quality standards, (ii) soil-disturbing activities related to mining at the sites or portion of the site have been completed, (iii) the site or portion of the site has been stabilized to minimize soil erosion, and (iv) as appropriate depending on location, size, and the potential to contribute pollutants to stormwater discharges, the site or portion of the site has been revegetated, will be amenable to natural revegetation, or will be left in a condition consistent with the post-mining land use.
H. Inactive and unstaffed sites. Permittees in Sector G
seeking to exercise a waiver from the quarterly visual assessment monitoring
and routine facility inspection requirements for inactive and unstaffed sites
(including temporarily inactive sites) are conditionally exempt from the
requirement to certify that "there are no industrial materials or
activities exposed to stormwater" in Part I A 4.
This exemption is conditioned on the following:
1. If circumstances change and the facility becomes active or staffed, this exception no longer applies and the permittee shall immediately begin complying with the quarterly visual assessment and routine facility inspection requirements; and
2. The board retains the authority to revoke this exemption and the monitoring waiver when it is determined that the discharge causes, has a reasonable potential to cause, or contributes to an instream excursion above an applicable water quality standard, including designated uses.
Subject to the two conditions in subdivisions 1 and 2 of this
subsection, if a facility is inactive and unstaffed, the permittee is waived
from the requirement to conduct quarterly visual assessments monitoring
and routine facility inspections. The permittee is not waived from conducting the
Part III E comprehensive site inspection at least one routine facility
inspection per calendar year. The board encourages the permittee to inspect
the site more frequently when there is reason to believe that severe weather or
natural disasters may have damaged control measures.
I. Benchmark monitoring and reporting requirements. Note:
There are no benchmark monitoring requirements for inactive and unstaffed sites
that have received a waiver in accordance with Part I A 4 (Inactive and
unstaffed sites).
1. Copper ore mining and dressing facilities. Active copper ore mining and dressing facilities are required to monitor their stormwater discharges for the pollutants of concern listed in Table 150-1 below.
2. Discharges from waste rock and overburden piles at active sites. Discharges from waste rock and overburden piles at active sites shall be analyzed for the parameters listed in Table 150-2. Facilities shall also monitor for the parameters listed in Table 150-3. The director may also notify the facility that additional monitoring must be performed to accurately characterize the quality and quantity of pollutants discharged from the waste rock or overburden piles.
Table 150-1 |
|
Pollutants of Concern |
Benchmark Concentration |
Active Copper Ore Mining and Dressing Facilities (SIC Code 1021) |
|
Total Suspended Solids (TSS) |
100 mg/L |
Table 150-2 |
|
Pollutants of Concern |
Benchmark Concentration |
Iron Ores; Copper Ores; Lead and Zinc Ores; Gold and Silver Ores; Ferroalloy Ores Except Vanadium; Miscellaneous Metal Ores (SIC Codes 1011, 1021, 1031, 1041, 1044, 1061, 1081, 1094, 1099) |
|
Total Suspended Solids (TSS) |
100 mg/L |
Turbidity (NTUs) |
50 NTU |
pH |
6.0 - 9.0 s.u. |
Hardness (as CaCO3) |
no benchmark value |
Total Recoverable Antimony |
640 μg/L |
Total Recoverable Arsenic |
50 μg/L |
Total Recoverable Beryllium |
130 μg/L |
Total Recoverable Cadmium |
2.1 μg/L |
Total Recoverable Copper |
18 μg/L |
Total Recoverable Iron |
1.0 mg/L |
Total Recoverable Lead |
120 μg/L |
Total Recoverable Mercury |
1.4 μg/L |
Total Recoverable Nickel |
470 μg/L |
Total Recoverable Selenium |
5.0 μg/L |
Total Recoverable Silver |
3.8 μg/L |
Total Recoverable Zinc |
120 μg/L |
Table 150-3 |
|||
Type of Ore Mined |
Pollutants of Concern |
||
TSS (mg/L) |
pH |
Metals, Total Recoverable |
|
Tungsten Ore |
X |
X |
Arsenic, Cadmium (H), Copper (H), Lead (H), Zinc (H). |
Nickel Ore |
X |
X |
Arsenic, Cadmium (H), Copper (H), Lead (H), Zinc (H). |
Aluminum Ore |
X |
X |
Iron. |
Mercury Ore |
X |
X |
Nickel (H). |
Iron Ore |
X |
X |
Iron (Dissolved). |
Platinum Ore |
|
|
Cadmium (H), Copper (H), Mercury, Lead (H), Zinc (H). |
Titanium Ore |
X |
X |
Iron, Nickel (H), Zinc (H). |
Vanadium Ore |
X |
X |
Arsenic, Cadmium (H), Copper (H), Lead (H), Zinc (H). |
Copper, Lead, Zinc, Gold, Silver and Molybdenum |
X |
X |
Arsenic, Cadmium (H), Copper (H), Lead (H), Mercury, Zinc (H). |
Uranium, Radium and Vanadium |
X |
X |
Chemical Oxygen Demand, Arsenic, Radium (Dissolved and Total Recoverable), Uranium, Zinc (H). |
|
9VAC25-151-160. Sector H - Coal mines and coal mining-related facilities.
A. Discharges covered under this section. The requirements listed under this section apply to stormwater discharges associated with industrial activity from coal mining-related areas (SIC Major Group 12) if (i) they are not subject to effluent limitations guidelines under 40 CFR Part 434 or (ii) they are not subject to the standards of the Surface Mining Control and Reclamation Act of 1977 (SMCRA) (30 USC § 1201 et seq.) and the Virginia Department of Mines, Minerals and Energy's individual permit requirements.
The requirements of this section shall apply to stormwater discharges from coal mining-related activities exempt from SMCRA, including the public financed exemption, the 16-2/3% exemption, the private use exemption, the under 250 tons exemption, the nonincidental tipple exemption, and the exemption for coal piles and preparation plants associated with the end user. Stormwater discharges from the following portions of eligible coal mines and coal mining related facilities may be eligible for this permit: haul roads (nonpublic roads on which coal or coal refuse is conveyed), access roads (nonpublic roads providing light vehicular traffic within the facility property and to public roadways), railroad spurs, sidings, and internal haulage lines (rail lines used for hauling coal within the facility property and to off-site commercial railroad lines or loading areas); conveyor belts, chutes, and aerial tramway haulage areas (areas under and around coal or refuse conveyor areas, including transfer stations); and equipment storage and maintenance yards, coal handling buildings and structures, coal tipples, coal loading facilities and inactive coal mines and related areas (abandoned and other inactive mines, refuse disposal sites and other mining-related areas).
B. Special conditions. Prohibition of nonstormwater discharges. In addition to the general prohibition of nonstormwater discharges in Part I B 1, the following discharges are not covered by this permit: discharges from pollutant seeps or underground drainage from inactive coal mines and refuse disposal areas that do not result from precipitation events and discharges from floor drains in maintenance buildings and other similar drains in mining and preparation plant areas.
C. Stormwater pollution prevention plan SWPPP
requirements. In addition to the requirements of Part III, the SWPPP shall
include at a minimum, the following items.
1. Site description.
a. Site map. The site map shall identify where any of the following may be exposed to precipitation or surface runoff:
(1) Haul and access roads;
(2) Railroad spurs, sliding, and internal hauling lines;
(3) Conveyor belts, chutes, and aerial tramways;
(4) Equipment storage and maintenance yards;
(5) Coal handling buildings and structures;
(6) Inactive mines and related areas;
(7) Acidic spoil, refuse or unreclaimed disturbed areas; and
(8) Liquid storage tanks containing pollutants such as caustics, hydraulic fluids and lubricants.
b. Summary of potential pollutant sources. A description of the potential pollutant sources from the following activities: truck traffic on haul roads and resulting generation of sediment subject to runoff and dust generation; fuel or other liquid storage; pressure lines containing slurry, hydraulic fluid or other potential harmful liquids; and loading or temporary storage of acidic refuse or spoil.
2. Stormwater controls.
a. Good housekeeping. As part of the facility's good housekeeping program required by Part III B 4 b (1), the permittee shall consider the following: using sweepers, covered storage, and watering of haul roads to minimize dust generation; and conservation of vegetation (where possible) to minimize erosion.
b. Preventive maintenance. The permittee shall also perform inspections of storage tanks and pressure lines for fuels, lubricants, hydraulic fluid or slurry to prevent leaks due to deterioration or faulty connections; or other equivalent measures.
c. Routine facility inspections. Sites shall be inspected at least quarterly unless adverse weather conditions make the site inaccessible. The requirement for routine facility inspections is waived for facilities that have maintained an active VEEP E3/E4 status.
3. Comprehensive site compliance evaluation. The evaluation
program shall also include inspections for pollutants entering the drainage
system from activities located on or near coal mining-related areas. Among the
areas to be inspected: haul and access roads; railroad spurs, sliding and
internal hauling lines; conveyor belts, chutes and aerial tramways; equipment
storage and maintenance yards; coal handling buildings and structures; and
inactive mines and related areas.
D. Inactive and unstaffed sites. Permittees in Sector H
seeking to exercise a waiver from the quarterly visual assessment monitoring
and routine facility inspection requirements for inactive and unstaffed sites
(including temporarily inactive sites) are conditionally exempt from the
requirement to certify that "there are no industrial materials or
activities exposed to stormwater" in Part I A 4.
This exemption is conditioned on the following:
1. If circumstances change and the facility becomes active or
staffed, this exception no longer applies and the permittee shall immediately
begin complying with the quarterly visual assessment monitoring
requirements and routine facility inspection requirements; and
2. The board retains the authority to revoke this exemption and the monitoring waiver when it is determined that the discharge causes, has a reasonable potential to cause, or contributes to an instream excursion above an applicable water quality standard, including designated uses.
Subject to the two conditions in subdivisions 1 and 2 of this
subsection, if a facility is inactive and unstaffed, the permittee is waived
from the requirement to conduct quarterly visual assessments monitoring
and routine facility inspections. The permittee is not waived from conducting the
Part III E comprehensive a minimum of one annual site inspection.
The board encourages the permittee to inspect the site more frequently when
there is reason to believe that severe weather or natural disasters may have
damaged control measures.
E. Benchmark monitoring and reporting requirements. Coal
mining facilities are required to monitor their stormwater discharges for the
pollutants of concern listed in Table 160. Note: There are no benchmark
monitoring requirements for inactive and unstaffed sites that have received a
waiver in accordance with Part I A 4 (Inactive and unstaffed sites).
Table 160 |
|
Pollutants of Concern |
Benchmark Concentration |
Coal Mines and Related Areas (SIC Codes 1221-1241) |
|
Total Recoverable Aluminum |
750 μg/L |
Total Recoverable Iron |
1.0 mg/L |
Total Suspended Solids (TSS) |
100 mg/L |
9VAC25-151-170. Sector I - Oil and gas extraction and
refining. (Repealed)
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with industrial
activity from oil and gas extraction and refining facilities listed under SIC
Major Group 13 which have had a discharge of a reportable quantity (RQ) of oil
or a hazardous substance for which notification is required under 40 CFR 110.6,
40 CFR 117.21 or 40 CFR 302.6. These include oil and gas exploration,
production, processing, or treatment operations, or transmission facilities
that discharge stormwater contaminated by contact with or that has come into
contact with any overburden raw material, intermediate products, finished
products, by-products or waste products located on the site of such operations.
Industries in SIC Major Group 13 include the extraction and production of crude
oil, natural gas, oil sands and shale; the production of hydrocarbon liquids
and natural gas from coal; and associated oilfield service, supply and repair
industries. This section also covers petroleum refineries listed under SIC Code
2911.
Contaminated stormwater discharges from petroleum refining
or drilling operations that are subject to nationally established BAT or BPT
guidelines found at 40 CFR Part 419 and 40 CFR Part 435 respectively are not
authorized by this permit.
Note: most contaminated discharges from petroleum refining
and drilling facilities are subject to these effluent guidelines and are not
eligible for coverage under this permit.
B. Special conditions. Prohibition of nonstormwater
discharges. In addition to the general prohibition of nonstormwater discharges
in Part I B 1, the following discharges are not covered by this permit:
discharges of vehicle and equipment washwater, including tank cleaning
operations. Alternatively, washwater discharges must be authorized under a
separate VPDES permit, or be discharged to a sanitary sewer in accordance with
applicable industrial pretreatment requirements.
C. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the SWPPP shall include, at a
minimum, the following items.
1. Site description.
a. Site map. The site map shall identify where any of the
following may be exposed to precipitation or surface runoff: reportable
quantity (RQ) releases; locations used for the treatment, storage or disposal
of wastes; processing areas and storage areas; chemical mixing areas; construction
and drilling areas; all areas subject to the effluent guidelines requirement of
"No Discharge" in accordance with 40 CFR 435.32 and the structural
controls to achieve compliance with the "No Discharge" requirement.
b. Summary of potential pollutant sources.
(1) The plan shall also include a description of the
potential pollutant sources from the following activities: chemical, cement,
mud or gel mixing activities; drilling or mining activities; and equipment
cleaning and rehabilitation activities.
(2) The plan shall include information about the RQ release
which triggered the permit application requirements, including: the nature of
the release (e.g., spill of oil from a drum storage area); the amount of oil or
hazardous substance released; amount of substance recovered; date of the
release; cause of the release (e.g., poor handling techniques and lack of
containment in the area); areas affected by the release, including land and
waters; procedure to cleanup release; actions or procedures implemented to
prevent or improve response to a release; and remaining potential contamination
of stormwater from release (taking into account human health risks, the control
of drinking water intakes, and the designated uses of the receiving water).
2. Stormwater controls: Sediment and erosion control. The
sediment and erosion control additional documentation requirements for well
drillings and sand or shale mining areas are as follows:
a. Site description. Each plan shall provide a description
of the following:
(1) A description of the nature of the exploration
activity;
(2) Estimates of the total area of the site and the area of
the site that is expected to be disturbed due to the exploration activity;
(3) An estimate of the runoff coefficient of the site;
(4) A site map indicating drainage patterns and approximate
slopes; and
(5) The name of all receiving water(s).
b. Vegetative controls. The SWPPP shall include a
description of vegetative practices designed to preserve existing vegetation
where attainable and revegetate open areas as soon as practicable after grade
drilling. Such practices may include: temporary or permanent seeding, mulching,
sod stabilization, vegetative buffer strips, tree protection practices. The
permittee shall initiate appropriate vegetative practices on all disturbed
areas within 14 calendar days of the last activity at that area.
c. Procedures in the plan shall provide that all erosion
and sedimentation controls on the site are inspected at least once every seven
calendar days.
Sector J Mineral Mining and Dressing (SIC 1411-1499).
Facilities described by this sector are not covered by this general permit.
Facilities with stormwater discharges that fall under this sector should apply
for coverage under the VPDES Nonmetallic Mineral Mining General Permit (VAG
84).
9VAC25-151-180. Sector K - Hazardous waste treatment, storage, or disposal facilities.
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with industrial
activity from facilities that treat, store, or dispose of hazardous wastes,
including those that are operating under interim status or a permit under
subtitle C of RCRA the Resource Conservation and Recovery Act (RCRA)
(Industrial Activity Code "HZ"). Disposal facilities that have been
properly closed and capped, or clean closed, and have no significant materials
exposed to stormwater, do not require this permit.
B. Special conditions. Prohibition of nonstormwater discharges. In addition to the general prohibition of nonstormwater discharges in Part I B 1, the following discharges are not covered by this permit: leachate, gas collection condensate, drained free liquids, contaminated ground water, laboratory-derived wastewater and contact washwater from washing truck, equipment, and railcar exteriors and surface areas that have come in direct contact with solid waste at the landfill facility.
C. Definitions.
"Contaminated stormwater" means stormwater that
comes in direct contact with landfill wastes, the waste handling and treatment
areas, or landfill wastewater as defined in this section. Some specific areas
of a landfill that may produce contaminated stormwater include, but are not
limited to: the open face of an active landfill with exposed waste (no
cover added); the areas around wastewater treatment operations; trucks,
equipment or machinery that has been in direct contact with the waste; and
waste dumping areas.
"Drained free liquids" means aqueous wastes drained from waste containers (e.g., drums, etc.) prior to landfilling.
"Landfill" means an area of land or an excavation in which wastes are placed for permanent disposal, that is not a land application or land treatment unit, surface impoundment, underground injection well, waste pile, salt dome formation, a salt bed formation, an underground mine or a cave as these terms are defined in 40 CFR 257.2, 40 CFR 258.2 and 40 CFR 260.10.
"Landfill wastewater," as defined in 40 CFR
Part 445 (Landfills Point Source Category), means all wastewater
associated with, or produced by, landfilling activities except for sanitary
wastewater, noncontaminated stormwater, contaminated ground water, and
wastewater from recovery pumping wells. Landfill wastewater includes, but is
not limited to, leachate, gas collection condensate, drained free liquids,
laboratory derived wastewater, contaminated stormwater and contact washwater
from washing truck, equipment, and railcar exteriors and surface areas that
have come in direct contact with solid waste at the landfill facility.
"Leachate" means liquid that has passed through or emerged from solid waste and contains soluble, suspended, or miscible materials removed from such waste.
"Noncontaminated stormwater" means stormwater that does not come into direct contact with landfill wastes, the waste handling and treatment areas, or landfill wastewater as defined above. Noncontaminated stormwater includes stormwater that flows off the cap, cover, intermediate cover, daily cover, or final cover of the landfill.
D. Numeric effluent limitations. As set forth at 40 CFR Part 445 Subpart A, the numeric limitations in Table 180-1 apply to contaminated stormwater discharges from hazardous waste landfills subject to the provisions of RCRA Subtitle C at 40 CFR Parts 264 (Subpart N) and 265 (Subpart N) except for any of the following facilities:
1. Landfills operated in conjunction with other industrial or commercial operations when the landfill only receives wastes generated by the industrial or commercial operation directly associated with the landfill;
2. Landfills operated in conjunction with other industrial or commercial operations when the landfill receives wastes generated by the industrial or commercial operation directly associated with the landfill and also receives other wastes provided the other wastes received for disposal are generated by a facility that is subject to the same provisions in 40 CFR Subchapter N as the industrial or commercial operation or the other wastes received are of similar nature to the wastes generated by the industrial or commercial operation;
3. Landfills operated in conjunction with Centralized Waste
Treatment centralized waste treatment (CWT) facilities subject to 40
CFR Part 437 so long as the CWT facility commingles the landfill wastewater with
other nonlandfill wastewater for discharge. A landfill directly associated with
a CWT facility is subject to this part if the CWT facility discharges landfill
wastewater separately from other CWT wastewater or commingles the wastewater
from its landfill only with wastewater from other landfills; or
4. Landfills operated in conjunction with other industrial or commercial operations when the landfill receives wastes from public service activities so long as the company owning the landfill does not receive a fee or other remuneration for the disposal service.
Table 180-1 |
||
Parameter |
Effluent Limitations |
|
Maximum Daily |
Maximum Monthly Average |
|
Hazardous Waste Treatment, Storage, or Disposal Facilities (Industrial Activity Code "HZ") Subject to the Provisions of 40 CFR Part 445 Subpart A. |
||
Biochemical Oxygen Demand (BOD5) |
220 mg/L |
56 mg/L |
Total Suspended Solids (TSS) |
88 mg/L |
27 mg/L |
Ammonia |
10 mg/L |
4.9 mg/L |
Alpha Terpineol |
0.042 mg/L |
0.019 mg/L |
Aniline |
0.024 mg/L |
0.015 mg/L |
Benzoic Acid |
0.119 mg/L* |
0.073 mg/L |
Naphthalene |
0.059 mg/L |
0.022 mg/L |
p-Cresol |
0.024 mg/L |
0.015 mg/L |
Phenol |
0.048 mg/L |
0.029 mg/L |
Pyridine |
0.072 mg/L |
0.025 mg/L |
Arsenic (Total) |
1.1 mg/L |
0.54 mg/L |
Chromium (Total) |
1.1 mg/L |
0.46 mg/L |
Zinc (Total) |
0.535 mg/L* |
0.296 mg/L* |
pH |
Within the range of 6.0 - 9.0 s.u. |
|
*These effluent limitations are three significant digits for reporting purposes. |
E. Benchmark monitoring and reporting requirements. Permittees
with hazardous waste treatment, storage, or disposal facilities (TSDFs) are
required to monitor their stormwater discharges for the pollutants of concern
listed in Table 180-2. These benchmark monitoring cutoff concentrations
apply to stormwater discharges associated with industrial activity other than
contaminated stormwater discharges from landfills subject to the numeric
effluent limitations set forth in Table 180-1.
Table 180-2 |
|
Pollutants of Concern |
Benchmark Concentration |
Hazardous Waste Treatment, Storage, or Disposal Facilities (Industrial Activity Code "HZ") |
|
Total Kjeldahl Nitrogen (TKN) |
1.5 mg/L |
Total Suspended Solids (TSS) |
100 mg/L |
Total Organic Carbon (TOC) |
110 mg/L |
Total Recoverable Arsenic |
50 μg/L |
Total Recoverable Cadmium |
2.1 μg/L |
Total Cyanide |
22 μg/L |
Total Recoverable Lead |
120 μg/L |
Total Magnesium |
64 μg/L |
Total Recoverable Mercury |
1.4 μg/L |
Total Recoverable Selenium |
5.0 μg/L |
Total Recoverable Silver |
3.8 μg/L |
9VAC25-151-190. Sector L - Landfills, land application sites and open dumps.
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with industrial
activity from waste disposal at landfills, land application sites, and open
dumps that receive or have received industrial wastes (Industrial Activity Code
"LF"), including sites subject to regulation under Subtitle D of RCRA
the Resource Conservation and Recovery Act (RCRA). Landfills, land
application sites, and open dumps that have stormwater discharges from other
types of industrial activities such as vehicle maintenance, truck washing, and
recycling may be subject to additional requirements specified elsewhere in this
permit. This permit does not cover discharges from landfills that receive only
municipal wastes. Landfills (including landfills in "post-closure
care") that have been properly closed and capped in accordance with 9VAC20-81-160
and 9VAC20-81-170 and have no significant materials exposed to stormwater do
not require this permit. Landfills closed in accordance with regulations or
permits in effect prior to December 21, 1988, do not require this permit,
unless significant materials are exposed to stormwater.
B. Special conditions. Prohibition of nonstormwater discharges. In addition to the general nonstormwater prohibition in Part I B 1, the following discharges are not covered by this permit: leachate, gas collection condensate, drained free liquids, contaminated ground water, laboratory wastewater, and contact washwater from washing truck, equipment, and railcar exteriors and surface areas that have come in direct contact with solid waste at the landfill facility.
C. Definitions.
"Contaminated stormwater" means stormwater that comes in direct contact with landfill wastes, the waste handling and treatment areas, or landfill wastewater. Some areas of a landfill that may produce contaminated stormwater include, but are not limited to, the working face of an active landfill; the areas around wastewater treatment operations; trucks, equipment, or machinery that has been in direct contact with the waste; and waste dumping areas.
"Drained free liquids" means aqueous wastes drained from waste containers (e.g., drums, etc.) prior to landfilling.
"Landfill wastewater," as defined in 40 CFR
Part 445 (Landfills Point Source Category), means all wastewater
associated with, or produced by, landfilling activities except for sanitary
wastewater, noncontaminated stormwater, contaminated groundwater, and
wastewater from recovery pumping wells. Landfill wastewater includes, but is
not limited to, leachate, gas collection condensate, drained free liquids,
laboratory derived wastewater, contaminated stormwater and contact washwater
from washing truck, equipment, and railcar exteriors and surface areas that
have come in direct contact with solid waste at the landfill facility.
"Leachate" means liquid that has passed through or emerged from solid waste and contains soluble, suspended, or miscible materials removed from such waste.
"Noncontaminated stormwater" means stormwater that does not come into direct contact with landfill wastes, the waste handling and treatment areas, or landfill wastewater as defined above. Noncontaminated stormwater includes stormwater that flows off the cap, intermediate cover, or final cover of the landfill.
"Open dump" means a site on which any solid waste is placed, discharged, deposited, injected, dumped, or spilled so as to present a threat of a release of harmful substances into the environment or present a hazard to human health. Such a site is subject to the open dump criteria in 9VAC20-81-45.
D. Stormwater pollution prevention plan requirements. In
addition to the requirements in Part III, the SWPPP shall include, at a
minimum, the following items.
1. Site description.
a. Site map. The site map shall identify where any of the
following may be exposed to precipitation or surface runoff: active and closed
landfill cells or trenches; active and closed land application areas; locations
where open dumping is occurring or has occurred; locations of any known
leachate springs or other areas where uncontrolled leachate may commingle with
runoff; and leachate collection and handling systems.
b. Summary of potential pollutant sources. The SWPPP shall
also include a description of potential pollutant sources associated with any
of the following: fertilizer, herbicide, and pesticide application; earth and
soil moving; waste hauling and loading and unloading; outdoor storage of
significant materials including daily, interim and final cover material
stockpiles as well as temporary waste storage areas; exposure of active and
inactive landfill and land application areas; uncontrolled leachate flows; and
failure or leaks from leachate collection and treatment systems.
2. Stormwater controls.
D. Stormwater controls. In addition to the requirements in Part III, the SWPPP shall include, at a minimum, the following items:
a. 1. Preventive maintenance program. As part of
the preventive maintenance program, the permittee shall maintain: all
elements of leachate collection and treatment systems to prevent commingling of
leachate with stormwater and the integrity and effectiveness of any intermediate
or final cover (including making repairs to the cover as necessary), to
minimize the effects of settlement, sinking, and erosion.
b. 2. Routine facility inspections.
(1) a. Inspections of active sites. Operating
landfills, open dumps, and land application sites shall be inspected at least
once every seven days. Qualified personnel shall inspect areas of landfills
that have not yet been finally stabilized, active land application areas, areas
used for storage of materials or wastes that are exposed to precipitation,
stabilization and structural control measures, leachate collection and
treatment systems, and locations where equipment and waste trucks enter and
exit the site. Erosion and sediment control measures shall be observed to
ensure they are operating correctly. For stabilized sites and areas where land
application has been completed, or where the climate is seasonally arid
(annual rainfall averages from 0 to 10 inches) or semi-arid (annual rainfall
averages from 10 to 20 inches), inspections shall be conducted at least
once every month.
(2) b. Inspections of inactive sites. Inactive
landfills, open dumps, and land application sites shall be inspected at least
quarterly. Qualified personnel shall inspect landfill (or open dump)
stabilization and structural erosion control measures and leachate collection
and treatment systems, and all closed land application areas.
c. 3. Recordkeeping and internal reporting
procedures. Landfill and open dump owners shall provide for a tracking system
for the types of wastes disposed of in each cell or trench of a landfill or
open dump. Land application site owners shall track the types and quantities of
wastes applied in specific areas.
d. 4. Annual outfall evaluation for unauthorized
discharges. The evaluation shall also be conducted for the presence of leachate
and vehicle washwater.
e. 5. Sediment and erosion control plan. Landfill
and open dump owners shall provide for temporary stabilization of materials
stockpiled for daily, intermediate, and final cover. Stabilization practices to
consider include, but are not limited to, temporary seeding, mulching,
and placing geotextiles on the inactive portions of the stockpiles. Landfill
and open dump owners shall provide for temporary stabilization of inactive
areas of the landfill or open dump which have an intermediate cover but no
final cover. Landfill and open dump owners shall provide for temporary
stabilization of any landfill or open dumping areas which have received a final
cover until vegetation has established itself. Land application site owners
shall also stabilize areas where waste application has been completed until
vegetation has been established.
f. Comprehensive site compliance evaluation. Areas
contributing to a stormwater discharge associated with industrial activities at
landfills, open dumps and land application sites shall be evaluated for
evidence of, or the potential for, pollutants entering the drainage system.
E. Numeric effluent limitations. As set forth at 40 CFR Part
445 Subpart B, the numeric limitations in Table 190-1 apply to contaminated
stormwater discharges from municipal solid waste landfills (MSWLFs) that have
not been closed in accordance with 40 CFR 258.60, and contaminated stormwater
discharges from those landfills that are subject to the provisions of 40 CFR
Part 257 (these include CDD landfills (also known as C&D landfills),
construction and debris landfills and industrial landfills) except for
discharges from any of the following facilities:
1. Landfills operated in conjunction with other industrial or commercial operations when the landfill only receives wastes generated by the industrial or commercial operation directly associated with the landfill;
2. Landfills operated in conjunction with other industrial or commercial operations when the landfill receives wastes generated by the industrial or commercial operation directly associated with the landfill and also receives other wastes provided the other wastes received for disposal are generated by a facility that is subject to the same provisions in 40 CFR Subchapter N as the industrial or commercial operation or the other wastes received are of similar nature to the wastes generated by the industrial or commercial operation;
3. Landfills operated in conjunction with centralized waste treatment (CWT) facilities subject to 40 CFR Part 437 so long as the CWT facility commingles the landfill wastewater with other nonlandfill wastewater for discharge. A landfill directly associated with a CWT facility is subject to this part if the CWT facility discharges landfill wastewater separately from other CWT wastewater or commingles the wastewater from its landfill only with wastewater from other landfills; or
4. Landfills operated in conjunction with other industrial or commercial operations when the landfill receives wastes from public service activities so long as the company owning the landfill does not receive a fee or other remuneration for the disposal service.
Table 190-1 |
||
Parameter |
Effluent Limitations |
|
Maximum Daily |
Maximum Monthly Average |
|
Landfills (Industrial Activity Code "LF") that are Subject to the Requirements of 40 CFR Part 445 Subpart B. |
||
Biochemical Oxygen Demand (BOD5) |
140 mg/L |
37 mg/L |
Total Suspended Solids (TSS) |
88 mg/L |
27 mg/L |
Ammonia |
10 mg/L |
4.9 mg/L |
Alpha Terpineol |
0.033 mg/L |
0.016 mg/L |
Benzoic Acid |
0.12 mg/L |
0.071 mg/L |
p-Cresol |
0.025 mg/L |
0.014 mg/L |
Phenol |
0.026 mg/L |
0.015 mg/L |
Zinc (Total) |
0.20 mg/L |
0.11 mg/L |
pH |
Within the range of 6.0 - 9.0 s.u. |
F. Benchmark monitoring and reporting requirements. Landfill,
land application, and open dump sites are required to monitor their stormwater
discharges for the pollutants of concern listed in Table 190-2. These benchmark
monitoring cutoff concentrations apply to stormwater discharges
associated with industrial activity other than contaminated stormwater
discharges from landfills subject to the numeric effluent limitations set forth
in Table 190-1.
Table 190-2 |
|
Pollutants of Concern |
Benchmark Concentration |
Landfills, Land Application Sites and Open Dumps (Industrial Activity Code "LF"). |
|
Total Suspended Solids (TSS) |
100 mg/L |
9VAC25-151-200. Sector M - Automobile salvage yards.
A. Discharges covered under this section. The requirements listed under this section apply to stormwater discharges associated with industrial activity from facilities engaged in dismantling or wrecking used motor vehicles for parts recycling or resale, and for scrap (SIC Code 5015).
B. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the SWPPP shall include, at a
minimum, the following items:
1. Site description.
a. Site map. The map shall include the location of each
monitoring point, and an estimation (in acres) of the total area used for
industrial activity including, but not limited to, dismantling, storage, and
maintenance of used motor vehicle parts. The site map shall also identify where
any of the following may be exposed to precipitation or surface runoff: vehicle
storage areas; dismantling areas; parts storage areas (e.g., engine blocks,
tires, hub caps, batteries, hoods, mufflers); and liquid storage tanks and
drums for fuel and other fluids.
b. Summary of potential pollutant sources. The permittee
shall assess the potential for the following activities to contribute
pollutants to stormwater discharges: vehicle storage areas; dismantling areas;
parts storage areas (e.g., engine blocks, tires, hub caps, batteries, and
hoods); fueling stations.
2. B. Stormwater controls. In addition to the
requirements of Part III, the SWPPP shall include, at a minimum, the following
items:
a. 1. Spill and leak prevention procedures. All
vehicles that are intended to be dismantled shall be properly drained of all
fluids prior to being dismantled or crushed, or other equivalent means shall be
taken to prevent leaks or spills of fluids upon arrival at the site, or as
soon thereafter as feasible. All drained fluids shall be managed to
minimize leaks or spills.
b. 2. Inspections. Upon arrival at the site, or
as soon thereafter as feasible, vehicles shall be inspected for leaks. Any
equipment containing oily parts, hydraulic fluids, any other types of fluids,
or mercury switches shall be inspected at least quarterly (four times per year)
for signs of leaks. All vessels, containers, or tanks and areas where
hazardous materials and general automotive fluids are stored, including, but
not limited to, mercury switches, brake fluid, transmission fluid, radiator
water, and antifreeze, shall be inspected at least quarterly for leaks. Quarterly
inspection records shall be maintained with the SWPPP.
c. 3. Employee training. Employee training shall,
at a minimum, address the following areas when applicable to a facility: proper
handling (collection, storage, and disposal) of oil, used mineral spirits, anti-freeze
antifreeze, mercury switches, and solvents.
d. 4. Management of runoff. The permittee shall
implement control measures to divert, infiltrate, reuse, contain, or otherwise
reduce stormwater runoff to minimize pollutants in discharges from the
facility. The following management practices shall be considered used
to prevent or reduce the discharge of pollutants to surface waters: berms
or drainage ditches on the property line, to help prevent runon run-on
from neighboring properties; berms for uncovered outdoor storage of oily parts,
engine blocks, and aboveground liquid storage; and the installation of
detention ponds, filtering devices, and oil/water separators.
a. Berms or drainage ditches on the property line used to help prevent run-on from neighboring properties;
b. Berms for uncovered outdoor storage of oily parts and engine blocks;
c. Aboveground liquid storage;
d. The installation of detention ponds, filtering devices, or oil/water separators; and
e. Another control measure used to prevent or reduce the discharge of pollutants to surface waters.
C. Benchmark monitoring and reporting requirements. Automobile salvage yards are required to monitor their stormwater discharges for the pollutants of concern listed in Table 200.
Table 200 |
|
Pollutants of Concern |
Benchmark Concentration |
Automobile Salvage Yards (SIC Code 5015) |
|
Total Suspended Solids (TSS) |
100 mg/L |
Total Recoverable Aluminum |
750 μg/L |
Total Recoverable Iron |
1.0 mg/L |
Total Recoverable Lead |
120 μg/L |
9VAC25-151-210. Sector N - Scrap recycling and waste recycling facilities and material recovery facilities (MRF).
A. Discharges covered under this section. The requirements listed under this section apply to stormwater discharges associated with industrial activity from facilities that are engaged in the processing, reclaiming and wholesale distribution of scrap and waste materials such as ferrous and nonferrous metals, paper, plastic, cardboard, glass, animal hides (these types of activities are typically identified as SIC Code 5093), and facilities that are engaged in reclaiming and recycling liquid wastes such as used oil, antifreeze, mineral spirits, and industrial solvents (also identified as SIC Code 5093). Separate permit requirements have been established for recycling facilities that only receive source-separated recyclable materials primarily from nonindustrial and residential sources (also identified as SIC Code 5093) (e.g., common consumer products including paper, newspaper, glass, cardboard, plastic containers, aluminum and tin cans).
Separate permit requirements have also been established for
facilities that are engaged in dismantling ships, marine salvaging, and marine
wrecking - ships for scrap (SIC Code 4499, limited to those listed; for
others in SIC Code 4499 not listed above in this subsection,
see Sector Q (9VAC25-151-240)).
B. Special conditions. Prohibition of nonstormwater
discharges. In addition to the general nonstormwater prohibition in Part I B
1, nonstormwater discharges from turnings containment areas are not covered by
this permit (see also subdivision C 2 c of this section). Discharges from
containment areas in the absence of a storm event are prohibited unless covered
by a separate VPDES permit.
C. Stormwater pollution prevention plan SWPPP
requirements. In addition to the requirements of Part III, all facilities
are required to comply with the general SWPPP requirement in subdivision 1 of
this subsection. the following items are applicable:
Subdivisions 2 through 5 of this subsection have SWPPP
requirements for specific types of recycling facilities. The permittee shall
implement and describe in the SWPPP a program to address those items that
apply. Included are lists of control measure options that, along with any
functional equivalents, shall be considered for implementation.
1. Site description. Site map. The site map shall identify
the locations where any of the following activities or sources may be exposed
to precipitation or surface runoff: scrap and waste material storage, outdoor
scrap and waste processing equipment, and containment areas for turnings
exposed to cutting fluids.
2. 1. Scrap recycling and waste recycling
facilities (nonsource-separated, nonliquid recyclable materials). The following
SWPPP special conditions have been established for facilities that receive,
process and do wholesale distribution of nonliquid recyclable wastes (e.g.,
ferrous and nonferrous metals, plastics, glass, cardboard and paper). These
facilities may receive both nonrecyclable and recyclable materials. This
section is not intended for those facilities that only accept recyclable
materials primarily from nonindustrial and residential sources.
a. Inbound recyclable and waste material control program. The plan
SWPPP shall include a recyclable and waste material inspection program
to minimize the likelihood of receiving materials that may be significant
pollutant sources to stormwater discharges. Control measure options measures
shall include one or more of the following:
(1) Provide information and education flyers, brochures and pamphlets to suppliers of scrap and recyclable waste materials on draining and properly disposing of residual fluids prior to delivery to the facility (e.g., from vehicles and equipment engines, radiators, and transmissions, oil-filled transformers, and individual containers or drums), and on removal of mercury switches prior to delivery to the facility;
(2) Establish procedures to minimize the potential of any residual fluids from coming in contact with precipitation or runoff;
(3) Establish procedures for accepting scrap lead-acid batteries. Additional requirements for the handling, storage and disposal or recycling of batteries are contained in the scrap lead-acid battery program provisions in subdivision 2 f of this subsection;
(4) Provide training targeted for those personnel engaged in
the inspection and acceptance of inbound recyclable materials; and or
(5) Establish procedures to ensure that liquid wastes,
including used oil, are stored in materially compatible and nonleaking
containers and disposed or recycled in accordance with all requirements under
the Resource Recovery and Conservation and Recovery Act (RCRA),
and other state or local requirements.
b. Scrap and waste material stockpiles and storage (outdoor).
The plan SWPPP shall describe measures and controls to minimize
contact of stormwater runoff with stockpiled materials, processed materials and
nonrecyclable wastes. Control measure options measures shall include
one or more of the following:
(1) Permanent or semipermanent covers;
(2) The use of sediment traps, vegetated swales and strips, catch basin filters, and sand filters to facilitate settling or filtering of pollutants;
(3) Diversion of runoff away from storage areas via dikes, berms, containment trenches, culverts, and surface grading;
(4) Silt fencing; and
(5) Oil/water separators, sumps, and dry adsorbents for areas where potential sources of residual fluids are stockpiled (e.g., automotive engine storage areas); or
(6) Another control measure used to prevent or reduce the discharge of pollutants to surface waters.
c. Stockpiling of turnings exposed to cutting fluids (outdoor
storage). The plan SWPPP shall implement measures necessary to
minimize contact of surface runoff with residual cutting fluids. Control measure
options (use singularly or in combination) measures shall include one or
more of the following:
(1) Storage of all turnings exposed to cutting fluids under
some form of permanent or semipermanent cover. Stormwater discharges from these
areas are permitted provided the runoff is first treated by an oil/water
separator or its equivalent. Procedures to collect, handle, and dispose or
recycle residual fluids that may be present shall be identified in the plan
SWPPP; or
(2) Establish dedicated containment areas for all turnings that have been exposed to cutting fluids. Stormwater runoff from these areas can be discharged provided:
(a) The containment areas are constructed of either concrete, asphalt or other equivalent type of impermeable material;
(b) There is a barrier around the perimeter of the containment
areas to prevent contact with stormwater runon run-on (e.g.,
berms, curbing, elevated pads, etc.);
(c) There is a drainage collection system for runoff generated from containment areas;
(d) There is a schedule to maintain the oil/water separator (or its equivalent); and
(e) Procedures are identified for the proper disposal or recycling of collected residual fluids.
d. Scrap and waste material stockpiles and storage (covered or
indoor storage). The plan SWPPP shall address measures and
controls to minimize contact of residual liquids and particulate matter from
materials stored indoors or under cover from coming in contact with surface
runoff. Control measure options measures shall include one or more of
the following:
(1) Good housekeeping measures, including the use of dry absorbent or wet vacuum cleanup methods, to contain, dispose, or recycle residual liquids originating from recyclable containers, or mercury spill kits from storage of mercury switches;
(2) Prohibiting the practice of allowing washwater from
tipping floors or other processing areas from discharging to the storm sewer
system; and
(3) Disconnecting or sealing off all floor drains connected
to the storm sewer system. if necessary to prevent a discharge; or
(4) Another control measure used to prevent or reduce the discharge of pollutants to surface waters.
e. Scrap and recyclable waste processing areas. The plan
SWPPP shall include measures and controls to minimize surface runoff
from coming in contact with scrap processing equipment. In the case of
processing equipment that generate visible amounts of particulate residue
(e.g., shredding facilities), the plan SWPPP shall describe
measures to minimize the contact of residual fluids and accumulated particulate
matter with runoff (i.e., through good housekeeping, preventive maintenance,
etc.). Control measure options measures shall include one or more of
the following:
(1) A schedule of regular inspections of equipment for leaks, spills, malfunctioning, worn or corroded parts or equipment;
(2) A preventive maintenance program for processing equipment;
(3) Removal of mercury switches from the hood and trunk lighting units, and removal of anti-lock brake system units containing mercury switches;
(4) Use of dry-absorbents or other cleanup practices to collect and to dispose of or recycle spilled or leaking fluids, or use of mercury spill kits for spills from storage of mercury switches;
(5) Installation of low-level alarms or other equivalent protection devices on unattended hydraulic reservoirs over 150 gallons in capacity. Alternatively, provide secondary containment with sufficient volume to contain the entire volume of the reservoir;
(6) Containment or diversion structures such as dikes, berms, culverts, trenches, elevated concrete pads, and grading to minimize contact of stormwater runoff with outdoor processing equipment or stored materials;
(7) Oil/water separators or sumps;
(8) Permanent or semipermanent covers in processing areas where there are residual fluids and grease;
(9) Retention and detention basins or ponds, sediment traps,
vegetated swales or strips, to facilitate pollutant settling and filtration; and
(10) Catch basin filters or sand filters; or
(11) Another control measure used to prevent or reduce the discharge of pollutants to surface waters.
f. Scrap lead-acid battery program. The plan SWPPP
shall address measures and controls for the proper handling, storage and
disposal of scrap lead-acid batteries. Control measure options measures
shall include one or more of the following:
(1) Segregate scrap lead-acid batteries from other scrap materials and store under cover;
(2) A description of procedures and measures for the proper handling, storage and disposal of cracked or broken batteries;
(3) A description of measures to collect and dispose of leaking lead-acid battery fluid;
(4) A description of measures to minimize and, whenever
possible, eliminate exposure of scrap lead-acid batteries to precipitation or
runoff; and or
(5) A description of employee training for the management of scrap batteries.
g. Spill prevention and response procedures. The SWPPP shall
include measures to minimize stormwater contamination at loading and unloading
areas, and from equipment or container failures. Control measure options
measures shall include one or more of the following:
(1) Description of spill prevention and response measures to address areas that are potential sources of fluid leaks or spills;
(2) Immediate containment and clean up of spills and leaks. If malfunctioning equipment is responsible for the spill or leak, repairs shall also be conducted as soon as possible;
(3) Cleanup procedures shall be identified in the plan SWPPP,
including the use of dry absorbents. Where dry absorbent cleanup methods are
used, an adequate supply of dry absorbent material shall be maintained on-site.
Used absorbent material shall be disposed of properly;
(4) Drums containing liquids, especially oil and lubricants,
shall be stored: indoors;, in a bermed area;,
in overpack containers or spill pallets;, or in similar
containment devices;
(5) Overfill prevention devices shall be installed on all fuel pumps or tanks;
(6) Drip pans or equivalent measures shall be placed under any
leaking piece of stationary equipment until the leak is repaired. The drip pans
shall be inspected for leaks and potential overflow and all liquids properly
disposed of in accordance with RCRA requirements; and or
(7) An alarm or pump shut off system shall be installed on outdoor equipment with hydraulic reservoirs exceeding 150 gallons in order to prevent draining the tank contents in the event of a line break. Alternatively, the equipment may have a secondary containment system capable of containing the contents of the hydraulic reservoir plus adequate freeboard for precipitation. A mercury spill kit shall be used for any release of mercury from switches, anti-lock brake systems, and switch storage areas.
h. Inspection program. All designated areas of the facility
and equipment identified in the plan SWPPP shall be inspected at
least quarterly. The requirement for routine facility inspections is waived for
facilities that have maintained an active VEEP E3/E4 status.
i. Supplier notification program. The plan SWPPP
shall include a program to notify major suppliers which scrap materials will
not be accepted at the facility or are only accepted under certain conditions.
3. 2. Waste recycling facilities (liquid
recyclable materials).
a. Waste material storage (indoor). The plan SWPPP
shall include measures and controls to minimize or eliminate contact
between residual liquids from waste materials stored indoors and surface
runoff. The plan SWPPP may refer to applicable portions of other
existing plans such as SPCC plans required under 40 CFR Part 112. Control measure
options measures shall include one or more of the following:
(1) Procedures for material handling (including labeling and marking);
(2) A sufficient supply of dry-absorbent materials or a wet
vacuum system to collect spilled or leaked materials (note: (spilled
or leaking mercury should never be vacuumed);
(3) An appropriate containment structure, such as trenches,
curbing, gutters or other equivalent measures; and or
(4) A drainage system, including appurtenances (e.g., pumps or ejectors, or manually operated valves), to handle discharges from diked or bermed areas. Drainage shall be discharged to an appropriate treatment facility, sanitary sewer system, or otherwise disposed of properly. Discharges from these areas may require coverage under a separate VPDES permit or industrial user permit under the pretreatment program.
b. Waste material storage (outdoor). The plan SWPPP
shall describe measures and controls to minimize contact between stored
residual liquids and precipitation or runoff. The plan SWPPP may
refer to applicable portions of other existing plans such as SPCC plans
required under 40 CFR Part 112. Discharges of precipitation from containment
areas containing used oil shall also be in accordance with applicable sections
of 40 CFR Part 112. Control measure options measures shall include
one or more of the following:
(1) Appropriate containment structures (e.g., dikes, berms, curbing, pits) to store the volume of the largest single tank, with sufficient extra capacity for precipitation;
(2) Drainage control and other diversionary structures;
(3) For storage tanks, provide corrosion protection or leak
detection systems; and or
(4) Dry-absorbent materials or a wet vacuum system to collect spills.
c. Truck and rail car waste transfer areas. The plan SWPPP
shall describe measures and controls to minimize pollutants in discharges from
truck and rail car loading and unloading areas. The plan SWPPP
shall also address measures to clean up minor spills and leaks resulting from
the transfer of liquid wastes. Control measure options measures shall
include one or more of the following:
(1) Containment and diversionary structures to minimize
contact with precipitation or runoff; and
(2) Use of dry cleanup methods, wet vacuuming, roof coverings, or runoff controls; or
(3) Another control measure used to prevent or reduce the discharge of pollutants to surface waters.
d. Inspections. Inspections shall be made quarterly and shall also include all areas where waste is generated, received, stored, treated or disposed that are exposed to either precipitation or stormwater runoff. The requirement for routine facility inspections is waived for facilities that have maintained an active VEEP E3/E4 status.
4. 3. Recycling facilities (source separated
materials). The following SWPPP special conditions have been established for
facilities that receive only source-separated recyclable materials primarily
from nonindustrial and residential sources.
a. Inbound recyclable material control. The plan SWPPP
shall include an inbound materials inspection program to minimize the
likelihood of receiving nonrecyclable materials (e.g., hazardous materials)
that may be a significant source of pollutants in surface runoff. Control measure
options measures shall include one or more of the following:
(1) Provide information and education measures to inform suppliers of recyclable materials on the types of materials that are acceptable and those that are not acceptable;
(2) A description of training measures for drivers responsible for pickup of recyclable materials;
(3) Clearly mark public drop-off containers regarding which materials can be accepted;
(4) Rejecting nonrecyclable wastes or household hazardous
wastes at the source; and or
(5) Establish procedures for the handling and disposal of nonrecyclable materials.
b. Outdoor storage. The plan SWPPP shall include
procedures to minimize the exposure of recyclable materials to surface runoff
and precipitation. The plan SWPPP shall include good housekeeping
measures to prevent the accumulation of particulate matter and fluids, particularly
in high traffic areas. Control measure options measures shall include
one or more of the following:
(1) Provide totally-enclosed drop-off containers for the public;
(2) Install a sump and pump with each containment pit, and treat or discharge collected fluids to a sanitary sewer system;
(3) Provide dikes and curbs for secondary containment (e.g., around bales of recyclable waste paper);
(4) Divert surface runoff away from outside material storage areas;
(5) Provide covers over containment bins, dumpsters, roll-off
boxes; and or
(6) Store the equivalent one day's volume of recyclable materials indoors.
c. Indoor storage and material processing. The plan SWPPP
shall include measures to minimize the release of pollutants from indoor
storage and processing areas. Control measure options measures shall
include one or more of the following:
(1) Schedule routine good housekeeping measures for all storage and processing areas;
(2) Prohibit a practice of allowing tipping floor washwaters
from draining to any portion of the storm sewer system; and or
(3) Provide employee training on pollution prevention practices.
d. Vehicle and equipment maintenance. The plan SWPPP
shall also provide for control measures in those areas where vehicle and
equipment maintenance is occurring outdoors. Control measure options measures
shall include one or more of the following:
(1) Prohibit vehicle and equipment washwater from
discharging to the storm sewer system discharges;
(2) Minimize or eliminate outdoor maintenance areas, wherever possible;
(3) Establish spill prevention and clean-up procedures in fueling areas;
(4) Avoid topping off fuel tanks;
(5) Divert runoff from fueling areas;
(6) Store lubricants and hydraulic fluids indoors; and or
(7) Provide employee training on proper, handling, storage of hydraulic fluids and lubricants.
5. 4. Facilities engaged in dismantling ships,
marine salvaging, and marine wrecking - ships for scrap. The following SWPPP
special conditions have been established for facilities that are engaged in
dismantling ships, marine salvaging, and marine wrecking - ships for scrap.
Vessel breaking and scrapping activities. Scrapping of vessels shall be accomplished ashore beyond the range of mean high tide, whenever practicable. If this activity must be conducted while a vessel is afloat or grounded in state waters, then the permittee shall employ control measures to reduce the amount of pollutants released. The following control measures shall be implemented during those periods when vessels (ships, barges, yachts, etc.) are brought to the facility's site for recycling, scrapping and storage prior to scrapping.
a. Fixed or floating platforms sufficiently sized and
constructed to catch and prevent scrap materials and pollutants from entering
surface waters (or equivalent measures approved by the board) shall be used as
work surfaces when working on or near the water surface. These platforms shall
be cleaned as required to prevent pollutants from entering surface waters and
at the end of each work shift. All scrap metals and pollutants shall be
collected in a manner to prevent releases (containerization is recommended).
b. There shall be no discharge of oil or oily wastewater at the facility. Drip pans and other protective devices shall be required for all oil and oily waste transfer operations to catch incidental spillage and drips from hose nozzles, hose racks, drums or barrels. Drip pans and other protective devices shall be inspected and maintained to prevent releases. Oil and oily waste shall be disposed at a permitted facility and adequate documentation of off-site disposition shall be retained for review by the board upon request.
c. During the storage, breaking, and scrapping period, oil
containment boom(s) booms shall be deployed either around the
vessel being scrapped, or across the mouth of the facility's wetslip, to
contain pollutants in the event of a spill. Booms shall be inspected,
maintained, and repaired as needed. Oil, grease and fuel spills shall be prevented
from reaching surface waters. Cleanup shall be carried out promptly immediately
after an oil, grease, or fuel spill is detected.
d. Paint and solvent spills shall be immediately, upon discovery of the spills, cleaned up to prevent pollutants from reaching storm drains, deck drains, and surface waters.
e. Contaminated bilge and ballast water shall not be discharged to surface waters. If it becomes necessary to dispose of contaminated bilge and ballast waters during a vessel breaking activity, the wastewater shall be disposed at a permitted facility and adequate documentation of off-site disposition shall be retained for review by the board upon request.
D. Benchmark monitoring and reporting requirements. Scrap recycling and waste recycling facilities (both source-separated and nonsource-separated facilities), and facilities engaged in dismantling ships, marine salvaging, and marine wrecking - ships for scrap are required to monitor their stormwater discharges for the pollutants of concern listed in Table 210.
Table 210 |
|
Pollutants of Concern |
Benchmark Concentration |
Scrap Recycling and Waste Recycling Facilities (nonsource-separated facilities only) (SIC Code 5093) |
|
Total Suspended Solids (TSS) |
100 mg/L |
Total Recoverable Aluminum |
750 μg/L |
Total Recoverable Cadmium |
2.1 μg/L |
Total Recoverable Chromium |
16 μg/L |
Total Recoverable Copper |
18 μg/L |
Total Recoverable Iron |
1.0 mg/L |
Total Recoverable Lead |
120 μg/L |
Total Recoverable Zinc |
120 μg/L |
Scrap Recycling and Waste Recycling Facilities (source-separated facilities) (SIC Code 5093) |
|
Total Suspended Solids (TSS) |
100 mg/L |
Total Recoverable Aluminum1 |
750 μg/L |
Total Recoverable Cadmium1 |
2.1 μg/L |
Total Recoverable Chromium1 |
16 μg/L |
Total Recoverable Copper1 |
18 μg/L |
Total Recoverable Iron1 |
1.0 mg/L |
Total Recoverable Lead1 |
120 μg/L |
Total Recoverable Zinc1 |
120 μg/L |
1Metals monitoring is only required at source-separated facilities for the specific metals listed above that are received at the facility. |
|
Facilities Engaged in Dismantling Ships, Marine Salvaging, and Marine Wrecking - Ships for Scrap (SIC Code 4499, limited to list) |
|
Total Recoverable Aluminum |
750 μg/L |
Total Recoverable Cadmium |
2.1 μg/L |
Total Recoverable Chromium |
16 μg/L |
Total Recoverable Copper |
18 μg/L |
Total Recoverable Iron |
1.0 mg/L |
Total Recoverable Lead |
120 μg/L |
Total Recoverable Zinc |
120 μg/L |
Total Suspended Solids (TSS) |
100 mg/L |
9VAC25-151-220. Sector O - Steam electric generating facilities.
A. Discharges covered under this section. The requirements listed under this section apply to stormwater discharges associated with industrial activity from steam electric power generating facilities using coal, natural gas, oil, nuclear energy, etc. to produce a steam source, including coal handling areas (Industrial Activity Code "SE").
Stormwater discharges from coal pile runoff subject to numeric effluent limitations are eligible for coverage under this permit, but are subject to the limitations established by Part I A 1 c (2).
Stormwater discharges from ancillary facilities (e.g., fleet centers, gas turbine stations, and substations) that are not contiguous to a steam electric power generating facility are not covered by this permit. Heat capture and heat recovery combined cycle generation facilities are also not covered by this permit; however, dual fuel co-generation facilities that generate electric power are included.
B. Special conditions. Prohibition of nonstormwater
discharges. In addition to the general nonstormwater prohibition in Part I B 1,
nonstormwater discharges subject to effluent limitation guidelines are also not
covered by this permit.
C. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the plan shall include, at a minimum,
the following items.
1. Site description. Site map. The site map shall identify
the locations of any of the following activities or sources that may be exposed
to precipitation or surface runoff: storage tanks, scrap yards, general refuse
areas; short and long term storage of general materials (including, but not
limited to: supplies, construction materials, paint equipment, oils, fuels,
used and unused solvents, cleaning materials, paint, water treatment chemicals,
fertilizer, and pesticides); landfills; construction sites; and stock pile
areas (such as coal or limestone piles).
2. Stormwater controls.
a. Good housekeeping measures.
B. Stormwater controls. Good housekeeping measures.
(1) 1. Fugitive dust emissions. The permittee
shall describe and implement measures that prevent or minimize fugitive dust
emissions from coal and ash handling areas. The permittee shall minimize
off-site tracking of coal dust and ash. Control measures to consider include
installing specially designed tires, or washing vehicles in a designated area
before they leave the site, and controlling the wash water.
(2) 2. Delivery vehicles. The plan SWPPP
shall describe measures that prevent or minimize contamination of stormwater
runoff from delivery vehicles arriving on the plant site. At a minimum the
permittee shall consider the following:
(a) a. Develop procedures for the inspection of
delivery vehicles arriving on the plant site, and ensure overall integrity of
the body or container; and
(b) b. Develop procedures to deal with leakage
and spillage from vehicles or containers.
(3) 3. Fuel oil unloading areas. The plan SWPPP
shall describe measures that prevent or minimize contamination of precipitation
or surface runoff from fuel oil unloading areas. At a minimum the permittee
shall consider using the following measures, or an equivalent:
(a) a. Use of containment curbs in unloading
areas;
(b) b. During deliveries, having station
personnel familiar with spill prevention and response procedures present to
ensure that any leaks and spills are immediately contained and cleaned up; and
(c) c. Use of spill and overflow protection (e.g.,
drip. Drip pans, drip diapers, or other containment devices may
be placed beneath fuel oil connectors to contain potential spillage during
deliveries or from leaks at the connectors) connectors.
(4) 4. Chemical loading and unloading areas. The
permittee shall describe and implement measures that prevent or minimize the
contamination of precipitation or surface runoff from chemical loading and
unloading areas. At a minimum the permittee shall consider using the following
measures (or their equivalents):
(a) a. Use of containment curbs at chemical
loading and unloading areas to contain spills;
(b) b. During deliveries, having station
personnel familiar with spill prevention and response procedures present to
ensure that any leaks or spills are immediately contained and cleaned up; and
(c) c. Covering chemical loading and unloading
areas, and storing chemicals indoors.
(5) 5. Miscellaneous loading and unloading areas.
The permittee shall describe and implement measures that prevent or minimize the
contamination of stormwater runoff from loading and unloading areas. The
permittee shall consider the following, at a minimum (or their equivalents):
(a) a. Covering the loading area;
(b) b. Grading, berming, or curbing around the
loading area to divert runon run-on; or
(c) c. Locating the loading and unloading
equipment and vehicles so that leaks are contained in existing containment and
flow diversion systems.
(6) 6. Liquid storage tanks. The permittee shall describe
and implement measures that prevent or minimize contamination of stormwater
runoff from aboveground liquid storage tanks. At a minimum the permittee shall
consider employing the following measures (or their equivalents):
(a) a. Use of protective guards around tanks;
(b) b. Use of containment curbs;
(c) c. Use of spill and overflow protection; and
(d) d. Use of dry cleanup methods.
(7) 7. Large bulk fuel storage tanks. The
permittee shall describe and implement measures that prevent or minimize
contamination of stormwater runoff from large bulk fuel storage tanks. At a
minimum the permittee shall consider employing containment berms (or its
equivalent). The permittee shall also comply with applicable state and federal
laws, including Spill Prevention Control and Countermeasures (SPCC).
(8) 8. Spill reduction measures. The permittee
shall describe and implement measures to reduce the potential for an oil or
chemical spill, or reference the appropriate section of their SPCC plan. The
structural integrity of all aboveground tanks, pipelines, pumps and other
related equipment shall be visually inspected as part of the routine facility
inspection. All repairs deemed necessary based on the findings of the
inspections shall be completed immediately to reduce the incidence of spills
and leaks occurring from such faulty equipment.
(9) 9. Oil bearing equipment in switchyards. The
permittee shall describe and implement measures to prevent or minimize
contamination of surface runoff from oil bearing equipment in switchyard areas.
The permittee shall consider the use of level grades and gravel surfaces to
retard flows and limit the spread of spills, and the collection of stormwater
runoff in perimeter ditches.
(10) 10. Residue hauling vehicles. All residue
hauling vehicles shall be inspected for proper covering over the load, adequate
gate sealing and overall integrity of the container body. Vehicles without load
coverings or adequate gate sealing, or with leaking containers or beds shall be
repaired as soon as practicable.
(11) 11. Ash loading areas. The permittee shall
describe and implement procedures to reduce or control the tracking of ash and
residue from ash loading areas. Where practicable, clear the ash building floor
and immediately adjacent roadways of spillage, debris and excess water before
departure of each loaded vehicle.
(12) 12. Areas adjacent to disposal ponds or
landfills. The permittee shall describe and implement measures that prevent or
minimize contamination of stormwater runoff from areas adjacent to disposal
ponds or landfills. The permittee shall develop procedures to:
(a) a. Reduce ash residue which may be tracked
on to access roads traveled by residue trucks or residue handling vehicles; and
(b) b. Reduce ash residue on exit roads leading
into and out of residue handling areas.
(13) 13. Landfills, scrapyards, surface
impoundments, open dumps, general refuse sites. The plan SWPPP
shall address and include appropriate control measures to minimize the
potential for contamination of runoff from landfills, scrapyards, surface
impoundments, open dumps and general refuse sites.
b. Comprehensive site compliance evaluation. As part of the
evaluation, qualified facility personnel shall inspect the following areas on a
monthly basis: coal handling areas, loading and unloading areas, switchyards,
fueling areas, bulk storage areas, ash handling areas, areas adjacent to
disposal ponds and landfills, maintenance areas, liquid storage tanks, and long
term and short term material storage areas.
D. C. Numeric effluent limitations. Permittees
with point sources of coal pile runoff associated with steam electric power
generation shall monitor these stormwater discharges for the presence of TSS
and for pH at least annually (one time per year) in accordance with Part
I A 1 c (2).
E. D. Benchmark monitoring and reporting
requirements. Steam electric power generating facilities are required to
monitor their stormwater discharges for the pollutants of concern listed in
Table 220.
Table 220 |
|
Pollutants of Concern |
Benchmark Concentration |
Steam Electric Generating Facilities (Industrial Activity Code "SE") |
|
Total Recoverable Iron |
1.0 mg/L |
9VAC25-151-230. Sector P - Land transportation and
warehousing. (Repealed)
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with
industrial activity from ground transportation facilities and rail
transportation facilities (generally identified by SIC Codes 40, 41, 42, 43,
and 5171), that have vehicle and equipment maintenance shops (vehicle and
equipment rehabilitation, mechanical repairs, painting, fueling and
lubrication) or equipment cleaning operations. Also covered under this section
are facilities found under SIC Codes 4221 through 4225 (public warehousing and
storage) that do not have vehicle and equipment maintenance shops or equipment cleaning
operations.
B. Special conditions. Prohibition of nonstormwater
discharges. This permit does not authorize the discharge of vehicle, equipment,
or surface washwater, including tank-cleaning operations. Such discharges must
be authorized under a separate VPDES permit, discharged to a sanitary sewer in
accordance with applicable industrial pretreatment requirements, or recycled
on-site.
C. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the SWPPP shall include, at a
minimum, the following items.
1. Site description. Site map. The site map shall identify
the locations of any of the following activities and indicate whether the
activities may be exposed to precipitation or surface runoff: fueling stations;
vehicle and equipment maintenance or cleaning areas; storage areas for vehicle
and equipment with actual or potential fluid leaks; loading and unloading
areas; areas where treatment, storage or disposal of wastes occur; liquid
storage tanks; processing areas; and storage areas.
2. Summary of potential pollutant sources. The plan shall
describe and assess the potential for the following to contribute pollutants to
stormwater discharges: on-site waste storage or disposal; dirt or gravel
parking areas for vehicles awaiting maintenance; plumbing connections between
shop floor drains and the stormwater conveyance system; and fueling areas.
3. Stormwater controls.
a. Good housekeeping.
(1) Vehicle and equipment storage areas. The storage of
vehicles and equipment awaiting maintenance with actual or potential fluid
leaks shall be confined to designated areas (delineated on the site map). The
permittee shall consider the following measures (or their equivalents): the use
of drip pans under vehicles and equipment; indoor storage of vehicles and
equipment; installation of berms or dikes; use of absorbents; roofing or
covering storage areas; and cleaning pavement surface to remove oil and grease.
(2) Fueling areas. The permittee shall describe and
implement measures that prevent or minimize contamination of the stormwater
runoff from fueling areas. The permittee shall consider the following measures
(or their equivalents): covering the fueling area; using spill and overflow
protection and cleanup equipment; minimizing stormwater runon and runoff to the
fueling area; using dry cleanup methods; and treating or recycling collected
stormwater runoff.
(3) Material storage areas. Storage vessels of all
materials (e.g., for used oil or oil filters, spent solvents, paint wastes,
hydraulic fluids) shall be maintained in good condition, so as to prevent
contamination of stormwater, and plainly labeled (e.g., "used oil,"
"spent solvents," etc.). The permittee shall consider the following
measures (or their equivalents): indoor storage of the materials; installation
of berms and dikes around the areas, minimizing runoff of stormwater to the
areas; using dry cleanup methods; and treating or recycling the collected
stormwater runoff.
(4) Vehicle and equipment cleaning areas. The permittee
shall describe and implement measures that prevent or minimize contamination of
stormwater runoff from all areas used for vehicle and equipment cleaning. The
permittee shall consider the following measures (or their equivalents):
performing all cleaning operations indoors; covering the cleaning operation;
ensuring that all washwaters drain to a proper collection system (i.e., not the
stormwater drainage system unless VPDES permitted); and treating or recycling
the collected stormwater runoff.
(5) Vehicle and equipment maintenance areas. The permittee
shall describe and implement measures that prevent or minimize contamination of
the stormwater runoff from all areas used for vehicle and equipment
maintenance. The permittee shall consider the following measures (or their
equivalents): performing maintenance activities indoors; using drip pans;
keeping an organized inventory of materials used in the shop; draining all
parts of fluids prior to disposal; prohibiting wet clean up practices where the
practices would result in the discharge of pollutants to stormwater drainage
systems; using dry cleanup methods; treating or recycling collected stormwater
runoff; and minimizing runon and runoff of stormwater to maintenance areas.
(6) Locomotive sanding (loading sand for traction) areas.
The plan shall describe measures that prevent or minimize contamination of the
stormwater runoff from areas used for locomotive sanding. The permittee shall
consider the following measures (or their equivalents): covering sanding areas;
minimizing stormwater runon and runoff; or appropriate sediment removal
practices to minimize the off-site transport of sanding material by stormwater.
b. Routine facility inspections. The following areas and
activities shall be included in all inspections: storage area for vehicles and
equipment awaiting maintenance; fueling areas; indoor and outdoor vehicle and
equipment maintenance areas; material storage areas; vehicle and equipment
cleaning areas; and loading and unloading areas.
c. Employee training. Employee training shall take place,
at a minimum, annually (once per calendar year). Employee training shall
address the following as applicable: used oil and spent solvent management;
fueling procedures; general good housekeeping practices; proper painting
procedures; and used battery management.
D. Benchmark monitoring and reporting requirements. Land
transportation and warehousing facilities are required to monitor their
stormwater discharges for the pollutants of concern listed in Table 230.
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9VAC25-151-240. Sector Q - Water transportation and ship and boat building or repairing yards.
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with the
following industrial activity from water transportation facilities
(generally identified by SIC Major Group 44), that have vehicle (vessel)
maintenance shops or equipment cleaning operations. The water transportation
industry includes facilities engaged in foreign or domestic transport of
freight or passengers in deep sea or inland waters; marine cargo handling
operations; ferry operations; towing and tugboat services; and marinas. activities:
1. Water transportation facilities identified by SIC Codes 4412‑4499 (except SIC Code 4499 facilities as specified in Sector N - 9VAC25-151-210). The water transportation industry includes facilities engaged in foreign or domestic transport of freight or passengers in deep sea or inland waters, marine cargo handling operations, ferry operations, towing and tugboat services, and marinas.
2. Ship building and repairing and boat building and repairing facilities identified by SIC Codes 3731 and 3732. The U.S. Coast Guard refers to a vessel 65 feet or greater in length as a "ship" and a vessel smaller than 65 feet as a "boat."
B. Special conditions. Prohibition of nonstormwater discharges. In addition to the general nonstormwater prohibition in Part I B 1, the following discharges are not covered by this permit: bilge and ballast water, sanitary wastes, pressure wash water, and cooling water originating from vessels.
C. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the SWPPP shall include, at a
minimum, the following items.
1. Site description.
a. Site map. The site map shall identify the locations
where any of the following activities may be exposed to precipitation or
surface runoff: fueling; engine maintenance or repair; vessel maintenance or
repair; pressure washing; painting; sanding; blasting; welding; metal
fabrication; loading and unloading areas; locations used for the treatment,
storage or disposal of wastes; liquid storage tanks; liquid storage areas
(e.g., paint, solvents, resins); and material storage areas (e.g., blasting
media, aluminum, steel, scrap iron).
b. Summary of potential pollutant sources. The plan shall
describe the following additional sources and activities that have potential
pollutants associated with them: outdoor manufacturing or processing activities
(i.e., welding, metal fabricating); and significant dust or particulate
generating processes (e.g., abrasive blasting, sanding, painting).
2. C. Stormwater controls.
a. 1. Good housekeeping.
(1) a. Pressure washing area. As defined by this
permit, process wastewater related to hull work at water transportation
facilities shall be any water used on a vessel's hull for any purpose,
regardless of application pressure, including but not limited to the
activities of removing marine salts, sediments, marine growth and paint, or
other hull, weather deck, or superstructure cleaning activities using water,
such as preparing those areas for inspection or work (cutting, welding,
grinding, coating, etc.). The discharge water shall be permitted as a process
wastewater by a separate VPDES permit.
(2) b. Blasting and painting areas. The
permittee shall describe and implement measures to prevent spent abrasives,
paint chips, and overspray from discharging into the receiving water or the
storm sewer system. The permittee may consider containing shall
contain all blasting or painting activities, or the use of
other measures to prevent or minimize the discharge of contaminants (e.g.,
hanging plastic barriers or tarpaulins during blasting or painting operations
to contain debris). Stormwater conveyances shall be regularly cleaned to remove
deposits of abrasive blasting debris and paint chips. The plan SWPPP
shall include any standard operating practices with regard to blasting and
painting activities, such as the prohibition of uncontained blasting or
painting over open water, or the prohibition of blasting or painting during
windy conditions which can render containment ineffective.
(3) c. Material storage areas. All containerized
materials (e.g., fuels, paints, solvents, waste oil, antifreeze, batteries)
shall be plainly labeled and stored in a protected, secure location away from
drains. The permittee shall describe and implement measures to prevent or
minimize the contamination of precipitation or surface runoff from the storage
areas. The plan SWPPP shall specify which materials are stored
indoors and consider containment or enclosure for materials that are stored
outdoors. The permittee shall consider implementing an inventory control plan
to limit the presence of potentially hazardous materials on-site. Where
abrasive blasting is performed, the plan SWPPP shall specifically
include a discussion on the storage and disposal of spent abrasive materials
generated at the facility.
(4) d. Engine maintenance and repair areas. The
permittee shall describe and implement measures to prevent or minimize
contamination of precipitation or surface runoff from all areas used for engine
maintenance and repair. The permittee shall consider the following measures (or
their equivalent): performing all maintenance activities indoors;,
maintaining an organized inventory of materials used in the shop;,
draining all parts of fluids prior to disposal;, prohibiting the
practice of hosing down the shop floor using dry cleanup methods;,
and treating or recycling stormwater runoff collected from the maintenance
area.
(5) e. Material handling areas. The permittee
shall describe and implement measures to prevent or minimize contamination of
precipitation or surface runoff from material handling operations and areas
(e.g., fueling, paint and solvent mixing, disposal of process wastewater
streams from vessels). The permittee shall consider the following measures (or
their equivalents): covering fueling areas; using spill and overflow
protection; mixing paints and solvents in a designated area (preferably indoors
or under a shed); and minimizing runon run-on of stormwater to
material handling areas.
(6) f. Drydock activities. The plan SWPPP
shall address the routine maintenance and cleaning of the drydock to minimize the
potential for pollutants in the stormwater runoff. The plan SWPPP
shall describe the procedures for cleaning the accessible areas of the drydock
prior to flooding and final cleanup after the vessel is removed and the dock is
raised. Cleanup procedures for oil, grease, or fuel spills occurring on the
drydock shall also be included within the plan SWPPP. The
permittee shall consider the following measures (or their equivalents):
sweeping rather than hosing off debris and spent blasting material from the accessible
areas of the drydock prior to flooding; and having absorbent materials and oil
containment booms readily available to contain or cleanup any spills.
(7) g. General yard area. The plan SWPPP
shall include a schedule for routine yard maintenance and cleanup. Scrap metal,
wood, plastic, miscellaneous trash, paper, glass, industrial scrap, insulation,
welding rods, packaging, etc., shall be routinely removed from the
general yard area.
b. (1) Preventative Maintenance maintenance.
As part of the facility's preventive maintenance program, stormwater management
devices shall be inspected and maintained in a timely manner (e.g., oil/water
separators and sediment traps cleaned to ensure that spent abrasives, paint
chips and solids are intercepted and retained prior to entering the storm
drainage system). Facility equipment and systems shall also be inspected and
tested to uncover conditions that could cause breakdowns or failures resulting
in discharges of pollutants to surface waters.
c. (2) Routine facility inspections. The
following areas shall be included in all quarterly inspections: pressure
washing area; blasting, sanding, and painting areas; material storage areas;
engine maintenance and repair areas; material handling areas; drydock area; and
general yard area. The requirement for routine facility inspections is waived
for facilities that have maintained an active VEEP E3/E4 status.
d. (3) Employee training. Training shall
address, at a minimum, the following activities (as applicable): used oil management;,
spent solvent management;, disposal of spent abrasives;,
disposal of vessel wastewaters;, spill prevention and control;,
fueling procedures;, general good housekeeping practices;,
painting and blasting procedures;, and used battery management.
D. Benchmark monitoring and reporting requirements. Water
transportation These facilities are required to monitor their
stormwater discharges for the pollutants of concern listed in Table 240.
Table 240 |
|
Pollutants of Concern |
Benchmark Concentration |
Water Transportation Facilities (SIC 4412‑4499) and Ship and Boat Building or Repairing Yards (SIC Codes 3731 and 3732) |
|
Total Suspended Solids (TSS) |
100 mg/L |
Total Recoverable Copper |
18 μg/L |
Total Recoverable Zinc |
120 μg/L |
9VAC25-151-250. Sector R - Ship and boat building or repair
yards. (Repealed)
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with industrial
activity from facilities engaged in ship building and repairing and boat
building and repairing (SIC Code 373). (According to the U.S. Coast Guard, a
vessel 65 feet or greater in length is referred to as a ship and a vessel
smaller than 65 feet is a boat.)
B. Special conditions. Prohibition of nonstormwater
discharges. In addition to the general nonstormwater prohibition in Part I B 1,
the following discharges are not covered by this permit: bilge and ballast
water, pressure wash water, sanitary wastes, and cooling water originating from
vessels.
C. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the SWPPP shall include, at a
minimum, the following items.
1. Site description.
a. Site map. The site map shall identify the locations
where any of the following activities may be exposed to precipitation or
surface runoff: fueling; engine maintenance or repair; vessel maintenance or
repair; pressure washing; painting; sanding; blasting; welding; metal fabrication;
loading and unloading areas; locations used for the treatment, storage or
disposal of wastes; liquid storage tanks; liquid storage areas (e.g., paint,
solvents, resins); and material storage areas (e.g., blasting media, aluminum,
steel, scrap iron).
b. Potential pollutant sources. The plan shall include a
description of the following additional sources and activities that have
potential pollutants associated with them (if applicable): outdoor
manufacturing and processing activities (e.g., welding, metal fabricating); and
significant dust and particulate generating processes (e.g., abrasive blasting,
sanding, painting).
2. Stormwater controls.
a. Good housekeeping measures.
(1) Pressure washing area. As defined by this permit,
process wastewater related to hull work at ship and boat building or repair
yard facilities shall be any water used on a vessel's hull for any purpose,
regardless of application pressure, including but not limited to the activities
of removing marine salts, sediments, marine growth and paint, or other hull,
weather deck, or superstructure cleaning activities using water, such as
preparing those areas for inspection or work (cutting, welding, grinding,
coating, etc.). The discharge water shall be permitted as a process wastewater
by a separate VPDES permit.
(2) Blasting and painting areas. The permittee shall
describe and implement measures to prevent spent abrasives, paint chips and
overspray from discharging into the receiving waterbody or the storm sewer
system. To prevent the discharge of contaminants, the permittee shall consider
containing all blasting and painting activities or using other methods, such as
hanging plastic barriers or tarpaulins during blasting or painting operations
to contain debris. The plan shall include a schedule for regularly cleaning
storm systems to remove deposits of abrasive blasting debris and paint chips.
The plan shall include any standard operating practices with regard to blasting
and painting activities, such as the prohibition of uncontained blasting or
painting over open water or the prohibition of blasting or painting during
windy conditions that can render containment ineffective.
(3) Material storage areas. All containerized materials
(fuels, paints, solvents, waste oil, antifreeze, batteries) shall be plainly
labeled and stored in a protected, secure location away from drains. The
permittee shall describe and implement measures to prevent or minimize
contamination of precipitation or surface runoff from the storage areas. The
permittee shall consider implementing an inventory control plan to limit the
presence of potentially hazardous materials on-site. Where abrasive blasting is
performed, the plan shall specifically include a discussion on the storage and
disposal of spent abrasive materials generated at the facility.
(4) Engine maintenance and repair areas. The permittee
shall describe and implement measures to prevent or minimize contamination of
precipitation or surface runoff from all areas used for engine maintenance and
repair. The permittee shall consider the following measures (or their
equivalent): performing all maintenance activities indoors; maintaining an
organized inventory of materials used in the shop; draining all parts of fluids
prior to disposal; prohibiting the practice of hosing down the shop floor;
using dry cleanup methods; and treating or recycling stormwater runoff
collected from the maintenance area.
(5) Material handling areas. The permittee shall describe
and implement measures to prevent or minimize contamination of precipitation or
surface runoff from material handling operations and areas (e.g., fueling,
paint and solvent mixing, disposal of process wastewater streams from vessels).
The permittee shall consider the following methods (or their equivalents):
covering fueling areas; using spill and overflow protection; mixing paints and
solvents in a designated area (preferably indoors or under a shed); and
minimizing runon of stormwater to material handling areas.
(6) Drydock activities. The plan shall address the routine
maintenance and cleaning of the drydock to minimize the potential for
pollutants in the stormwater runoff. The plan shall describe the procedures for
cleaning the accessible areas of the drydock prior to flooding and final
cleanup after the vessel is removed and the dock is raised. Cleanup procedures
for oil, grease, or fuel spills occurring on the drydock shall also be included
within the plan. The permittee shall consider the following measures (or their
equivalents): sweeping rather than hosing off debris and spent blasting
material from the accessible areas of the drydock prior to flooding and having
absorbent materials and oil containment booms readily available to contain or
cleanup any spills.
(7) General yard area. The plan shall include a schedule
for routine yard maintenance and cleanup. Scrap metal, wood, plastic,
miscellaneous trash, paper, glass, industrial scrap, insulation, welding rods,
packaging, etc., shall be routinely removed from the general yard area.
b. Preventative maintenance. As part of the facility's
preventive maintenance program, stormwater management devices shall be
inspected and maintained in a timely manner (e.g., oil/water separators and
sediment traps cleaned to ensure that spent abrasives, paint chips and solids
are intercepted and retained prior to entering the storm drainage system).
Facility equipment and systems shall also be inspected and tested to uncover
conditions that could cause breakdowns or failures resulting in discharges of
pollutants to surface waters.
c. Routine facility inspections. The following areas shall
be included in all quarterly routine facility inspections: pressure washing
area; blasting, sanding, and painting areas; material storage areas; engine
maintenance or repair areas; material handling areas; drydock area; and general
yard area. The requirement for routine facility inspections is waived for
facilities that have maintained an active VEEP E3/E4 status.
d. Employee training. Training shall address, at a minimum,
the following activities (as applicable): used oil management; spent solvent
management; proper disposal of spent abrasives; proper disposal of vessel
wastewaters, spill prevention and control; fueling procedures; general good
housekeeping practices; painting and blasting procedures; and used battery
management.
D. Benchmark monitoring and reporting requirements. Ship
and boat building or repairing yards are required to monitor their stormwater
discharges for the pollutants of concern listed in Table 250.
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9VAC25-151-260. Sector S - Air transportation. (Repealed)
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with industrial
activity from air transportation facilities including airports, airport
terminal services, air transportation (scheduled and nonscheduled), flying
fields, air courier services, and establishments engaged in operating and
maintaining airports, and servicing, repairing or maintaining aircraft
(generally classified under SIC Code 45), which have vehicle maintenance shops,
material handling facilities, equipment cleaning operations, or airport or
aircraft deicing or anti-icing operations. For the purpose of this section, the
term "deicing" is defined as the process to remove frost, snow, or
ice and "anti-icing" is the process which prevents the accumulation
of frost, snow, or ice. Only those portions of the facility that are either
involved in vehicle maintenance (including vehicle rehabilitation, mechanical
repairs, painting, fueling, and lubrication), equipment cleaning operations, or
deicing or anti-icing operations are addressed under this section.
B. Special definitions. The following definitions are only
for this section of the general permit:
"Aircraft deicing fluid" or "ADF" means
a fluid (other than hot water) applied to aircraft to remove or prevent any
accumulation of snow or ice on the aircraft. This includes deicing and
anti-icing fluids.
"Airfield pavement" means all paved surfaces on
the airside of an airport.
"Airside" means the part of an airport directly
involved in the arrival and departure of aircraft, including runways, taxiways,
aprons, and ramps.
"Annual non-propeller aircraft departures" means
the average number of commercial turbine-engine aircraft that are propelled by
jet (i.e., turbojet or turbofan) that take off from an airport on an annual
basis, as tabulated by the Federal Aviation Administration (FAA).
"Available ADF" means 75% of the normalized Type
I aircraft deicing fluid and 10% of the normalized Type IV aircraft deicing
fluid, excluding aircraft deicing fluids used for defrosting or deicing for
safe taxiing.
"Collection requirement" means, for new sources,
the requirement for permittee to collect available ADF.
"Defrosting" means the removal of frost
contamination from an aircraft when there has been no active precipitation.
"Deicing" mean procedures and practices to remove
or prevent any accumulation of snow or ice on:
1. An aircraft; or
2. Airfield pavement.
"Normalized Type I or Type IV aircraft deicing
fluid" means ADF less any water added by the manufacturer or customer
before ADF application.
"Primary airport" means an airport defined at 49
USC § 47102 (15).
C. Special conditions. Prohibition of nonstormwater
discharges. In addition to the general nonstormwater prohibition in Part I B 1,
the following discharges are not covered by this permit: aircraft, ground
vehicle, runway and equipment washwaters, and dry weather discharges of deicing
or anti-icing chemicals. These discharges must be covered by a separate VPDES
permit. Note: Discharge resulting from snowmelt is not a dry weather discharge.
D. Stormwater pollution prevention plan requirements.
SWPPPs developed for areas of the facility occupied by tenants of the airport
shall be integrated with the plan for the entire airport. For the purposes of
this permit, tenants of the airport facility include airline passenger or cargo
companies, fixed based operators and other parties who have contracts with the
airport authority to conduct business operations on airport property and whose
operations result in stormwater discharges associated with industrial activity.
In addition to the requirements of Part III, the SWPPP shall include, at a
minimum, the following items.
1. Site description.
a. Site map. The site map shall identify the location of
the following activities and indicate any of the activities that may be exposed
to precipitation or surface runoff: aircraft and runway deicing or anti-icing
operations; fueling stations; aircraft, ground vehicle and equipment
maintenance and cleaning areas; and storage areas for aircraft, ground vehicles
and equipment awaiting maintenance.
b. Summary of potential pollutant sources. The plan shall
include a narrative description of the potential pollutant sources from the
following activities: aircraft, runway, ground vehicle and equipment
maintenance and cleaning; aircraft and runway deicing or anti-icing operations
(including apron and centralized aircraft deicing or anti-icing stations,
runways, taxiways, and ramps). Facilities which conduct deicing or anti-icing
operations shall maintain a record of the types (including the safety data
sheets (SDS)) and monthly quantities of deicing or anti-icing chemicals used,
either as measured amounts, or in the absence of metering, as estimated
amounts. This includes all deicing or anti-icing chemicals, not just glycols
and urea (e.g., potassium acetate). Tenants and fixed-base operators who conduct
deicing or anti-icing operations shall provide the above information to the
airport authority for inclusion in the stormwater pollution prevention plan for
the entire facility.
c. Deicing season. The SWPPP shall define the average
seasonal timeframe (e.g., December-February, October-March, etc.) during which
deicing activities typically occur at the facility. Implementation of control
measures, including any BMPs, facility inspections, and effluent limitation
monitoring shall be conducted with particular emphasis throughout the defined
deicing season.
2. Stormwater controls.
a. Good housekeeping.
(1) Aircraft, ground vehicle and equipment maintenance
areas. The permittee shall describe and implement measures that prevent or
minimize the contamination of stormwater runoff from all areas used for
aircraft, ground vehicle and equipment maintenance (including the maintenance
conducted on the terminal apron and in dedicated hangars). Appropriate control
measures (or their equivalents) shall be implemented, such as the following
practices: performing maintenance activities indoors; maintaining an organized
inventory of materials used in the maintenance areas; draining all parts of
fluids prior to disposal; preventing the practice of hosing down the apron or
hangar floor; using dry cleanup methods; and collecting the stormwater runoff
from the maintenance area and providing treatment or recycling.
(2) Aircraft, ground vehicle and equipment cleaning areas.
Permittees shall ensure that cleaning of equipment is conducted in designated
areas only and clearly identify these areas on the ground and delineate them on
the site map. The permittee shall describe and implement measures that prevent
or minimize the contamination of the stormwater runoff from cleaning areas.
(3) Aircraft, ground vehicle and equipment storage areas.
The storage of aircraft, ground vehicles and equipment awaiting maintenance
shall be confined to designated areas (delineated on the site map). Appropriate
control measures, including any BMPs (or their equivalents) shall be
implemented, such as the following practices: indoor storage of aircraft and
ground vehicles; the use of drip pans for the collection of fluid leaks; and
perimeter drains, dikes or berms surrounding storage areas.
(4) Material storage areas. Storage vessels of all
materials (e.g., used oils, hydraulic fluids, spent solvents, and waste
aircraft fuel) shall be maintained in good condition, so as to prevent or
minimize contamination of stormwater, and plainly labeled (e.g., "used
oil," "Contaminated Jet A," etc.). The permittee shall describe
and implement measures that prevent or minimize contamination of precipitation
or runoff from storage areas. Appropriate control measures (or their
equivalents) shall be implemented, such as the following practices: indoor
storage of materials; centralized storage areas for waste materials; and
installation of berms and dikes around storage areas.
(5) Airport fuel system and fueling areas. The permittee
shall describe and implement measures that prevent or minimize the discharge of
fuels to the storm sewer or surface waters resulting from fuel servicing
activities or other operations conducted in support of the airport fuel system.
Appropriate control measures (or their equivalents) shall be implemented, such
as the following practices: implementing spill and overflow practices (e.g.,
placing absorptive materials beneath aircraft during fueling operations); using
dry cleanup methods; and collecting the stormwater runoff.
b. Source reduction. The permittee shall minimize, and
where practicable eliminate, the use of urea and glycol-based deicing or
anti-icing chemicals in order to reduce the aggregate amount of deicing or
anti-icing chemicals used and lessen the environmental impact. Chemical options
to replace ethylene glycol, propylene glycol and urea include: potassium
acetate; magnesium acetate; calcium acetate; anhydrous sodium acetate.
(1) Runway deicing operations. The permittee shall minimize
contamination of stormwater runoff from runways as a result of deicing
operations. The permittee shall evaluate present application rates to ensure
against excessive over application by analyzing application rates and adjusting
as necessary, consistent with considerations of flight safety. Appropriate
control measures, (or their equivalents) shall be implemented, such as the
following practices: metered application of chemicals; prewetting dry chemical
constituents prior to application; installation of runway ice detection
systems; implementing anti-icing operations as a preventive measure against ice
buildup.
(2) Aircraft deicing operations. The permittee shall
minimize contamination of stormwater runoff from aircraft deicing operations.
The permittee shall determine whether excessive application of deicing
chemicals occurs, and adjust as necessary, consistent with considerations of
flight safety. This evaluation shall be carried out by the personnel most
familiar with the particular aircraft and flight operations in question (versus
an outside entity such as the airport authority). The use of alternative
deicing or anti-icing agents as well as containment measures for all applied
chemicals shall be considered. Appropriate control measures (or their equivalents)
shall be implemented for reducing deicing fluid use, such as the following
practices: forced-air deicing systems; computer-controlled fixed-gantry
systems; infrared technology; hot water; varying glycol content to air
temperature; enclosed-basket deicing trucks; mechanical methods; solar
radiation; hangar storage; aircraft covers; and thermal blankets for MD-80s and
DC-9s. The use of ice-detection systems and airport traffic flow strategies and
departure slot allocation systems shall also be considered where practicable.
c. Management of runoff. Where deicing operations occur,
the permittee shall implement a program to control or manage contaminated
runoff to minimize the amount of pollutants being discharged from the site. The
plan shall describe the controls used for collecting or containing contaminated
melt water from collection areas used for disposal of contaminated snow. The
following control measure options (or their equivalents) shall be considered:
establishing a dedicated deicing facility with a runoff collection and recovery
system; using vacuum or collection trucks; storing contaminated stormwater
water or deicing fluids in tanks and releasing controlled amounts to a publicly
owned treatment works; collecting contaminated runoff in a wet pond for
biochemical decomposition (be aware of attracting wildlife that may prove
hazardous to flight operations); and directing runoff into vegetative swales or
other infiltration measures. The plan shall consider the recovery of deicing
and anti-icing materials when these materials are applied during
nonprecipitation events (e.g., covering storm sewer inlets, using booms,
installing absorptive interceptors in the drains, etc.) to prevent these
materials from later becoming a source of stormwater contamination. Used
deicing fluid shall be recycled whenever possible.
d. Routine facility inspections. The inspection frequency
shall be specified in the plan. At a minimum, inspections shall be conducted
once per month during deicing and anti-icing season (e.g., October through
April for most airports). If deicing occurs before or after this period, the
inspections shall be expanded to include all months during which deicing
chemicals may be used.
e. Comprehensive site compliance evaluation. The annual
site compliance evaluations shall be conducted by qualified facility personnel
during periods of actual deicing operations, if possible. If not practicable
during active deicing or if the weather is too inclement, the evaluations shall
be conducted when deicing operations are likely to occur and the materials and
equipment for deicing are in place.
E. Numeric effluent limitations. The average deicing season
identified in the SWPPP is the time frame during which any effluent limitation
monitoring samples shall be obtained.
1. Airfield pavement deicing. Existing primary airports and
primary airports meeting the definition of a new source (new primary airports )
with at least 1,000 annual jet departures (non-propeller aircraft) that
discharge wastewater associated with airport pavement deicing comingled with
stormwater shall either use deicing products that do not contain urea or
alternatively, airfield pavement discharges at every discharge point shall
achieve the numeric limitations for ammonia in Table 260-1, prior to any
dilution or commingling with any non-deicing discharge. Primary airports that
only use deicing products that do not contain urea shall certify this fact
annually to the board. The certification shall be signed in accordance with
Part II K, and a copy of the certification shall be kept with the SWPPP.
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2. Aircraft deicing. Airports meeting the definition of a
new source (new airports) with 10,000 annual departures, and located in cold
climate zones, shall collect at least 60% of available ADF after deicing. New airports
shall achieve the performance standards in Table 260-2 for available ADF
collected. The limitation shall be met at the location where the effluent
leaves the on-site treatment system utilized for meeting these requirements and
before commingling with any non-deicing discharge.
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3. Monitoring, reporting, and recordkeeping
requirements.
a. Demonstrating compliance with the ADF collection
requirement for dischargers subject to the requirements in subdivision 2 of
this subsection.
(1) The permittee shall maintain records with the SWPPP to
demonstrate that the airport is operating and maintaining one or more
centralized deicing pads and shall certify this annually to the board. The
certification shall be signed in accordance with Part II K, and a copy of the
certification shall be kept with the SWPPP.
The centralized deicing pad technology shall be operated
and maintained according to the technical specifications set forth in
subdivisions 3 a (1) (a) through (d) of this subsection. The demonstration and
valid certification are sufficient to meet the applicable collection
requirement without the permittee having to determine the numeric percentage of
available ADF collected.
(a) Each centralized deicing pad shall be sized and sited
in accordance with all applicable Federal Aviation Administration advisory
circulars.
(b) Drainage valves associated with the centralized deicing
pad shall be activated before deicing activities commence to collect available
ADF.
(c) The centralized deicing pad and associated collection
equipment shall be installed and maintained per any applicable manufacturers'
instructions and shall be inspected, at a minimum, at the beginning of each
deicing season to ensure that the pad and associated equipment are in working
condition.
(d) All aircraft deicing shall take place on a centralized
deicing pad, with the exception of defrosting and deicing for safe taxiing.
(2) The permittee shall maintain records with the SWPPP on
the volume of ADF sprayed and the amount of available ADF collected in order to
determine compliance with the collection requirement and shall report this
information annually to the department.
b. Monitoring requirements.
(1) COD limitation. Permittees subject to the ADF
collection and discharge requirements specified in subdivision 2 of this
subsection shall conduct effluent monitoring to demonstrate compliance with the
COD limitation for all ADF that is collected.
Compliance shall be demonstrated at the location where the effluent
leaves the on-site treatment system utilized for meeting these requirements and
before commingling with any non-deicing discharge. Effluent samples shall be
collected following the grab sample protocol in 40 CFR 449, Appendix A.
(2) Ammonia limitation. If a permittee chooses to comply
with the compliance alternative specified in subdivision 1 of this subsection,
the permittee shall conduct effluent monitoring at all locations where pavement
deicing with a product that contains urea is occurring, prior to any dilution
or commingling with any non-deicing discharge.
c. Recordkeeping.
(1) The permittee shall maintain records with the SWPPP
documenting compliance with subdivisions 3 a and 3 b of this subsection. These
records include, but are not limited to, documentation of wastewater samples
collected and analyzed, certifications, and equipment maintenance schedules and
agreements.
(2) The permittee shall collect and maintain data with the
SWPPP on the annual volume of ADF used.
F. Benchmark monitoring and reporting requirements.
Stormwater discharges from those portions of air transportation facilities
where vehicle maintenance (including vehicle rehabilitation, mechanical
repairs, painting, fueling, and lubrication) and equipment cleaning is performed
shall be sampled for the parameters listed in Table 260-3. Note: The benchmark
monitoring requirements apply year round and are not limited to the deicing
season.
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9VAC25-151-270. Sector T - Treatment works. (Repealed)
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with
industrial activity from treatment works treating domestic sewage or any other sewage
sludge or wastewater treatment device or system, used in the storage,
treatment, recycling, and reclamation of municipal or domestic sewage,
including lands dedicated to the disposal of sewage sludge that are located
within the confines of the facility with a design flow of 1.0 MGD or more, or
required to have an approved pretreatment program under 9VAC25-31-730
(Industrial Activity Code "TW"). Farm lands, domestic gardens or
lands used for sludge management where sludge is beneficially reused and that
are not physically located within the facility, or areas that are in compliance
with § 405 of the CWA are not required to have permit coverage.
B. Special conditions. Prohibition of nonstormwater
discharges. In addition to the general nonstormwater prohibition in Part I B 1,
the following discharges are not covered by this permit: sanitary and
industrial wastewater; and equipment and vehicle washwaters.
C. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the SWPPP shall include, at a
minimum, the following items.
1. Site description.
a. Site map. The site map shall identify where any of the
following may be exposed to precipitation or surface runoff: grit, screenings,
and other solids handling, storage, or disposal areas; sludge drying beds;
dried sludge piles; compost piles; septage or hauled waste receiving station;
and storage areas for process chemicals, petroleum products, solvents,
fertilizers, herbicides, and pesticides.
b. Summary of potential pollutant sources. The plan shall
include a description of the potential pollutant sources from the following
activities, as applicable: grit, screenings, and other solids handling,
storage, or disposal areas; sludge drying beds; dried sludge piles; compost piles;
septage or hauled waste receiving station; and access roads and rail lines.
2. Stormwater controls.
a. Control measures. In addition to the other control
measures required by Part III B 4, the following measures shall be considered:
routing stormwater to the treatment works; or covering exposed materials (i.e.,
from the following areas: grit, screenings, and other solids handling, storage,
or disposal areas; sludge drying beds; dried sludge piles; compost piles;
septage or hauled waste receiving station).
b. Inspections. The following areas shall be included in
all inspections: access roads and rail lines, grit, screenings, and other
solids handling, storage, or disposal areas; sludge drying beds; dried sludge
piles; compost piles; septage or hauled waste receiving station areas.
c. Employee training. Employee training shall, at a
minimum, address the following areas when applicable to a facility: petroleum
product management; process chemical management; spill prevention and control;
fueling procedures; general good housekeeping practices; proper procedures for
using fertilizers, herbicides and pesticides.
9VAC25-151-280. Sector U - Food and kindred products.
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with
industrial activity from food and kindred products processing facilities (commonly
identified by SIC Code 20), including: meat products; dairy products
SIC Codes 2021‑2026; canned, frozen and preserved fruits,
vegetables, and food specialties; grain mill products SIC Codes 2041‑2048;
bakery products; sugar and confectionery products; and fats and
oils; beverages; and miscellaneous food preparations and kindred products
and tobacco products manufacturing (SIC Code 21) SIC Codes 2074‑2079.
B. Special conditions. Prohibition of nonstormwater discharges. In addition to the general nonstormwater prohibition in Part I B 1, the following discharges are not covered by this permit: boiler blowdown, cooling tower overflow and blowdown, ammonia refrigeration purging, and vehicle washing and clean-out operations.
C. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the SWPPP shall include, at a
minimum, the following items.
1. Site description.
a. Site map. The site map shall identify the locations of
the following activities if they are exposed to precipitation or surface
runoff: vents and stacks from cooking, drying, and similar operations; dry
product vacuum transfer lines; animal holding pens; spoiled product; and broken
product container storage areas.
b. Summary of potential pollutant sources. In addition to
food and kindred products processing-related industrial activities, the plan
shall also describe application and storage of pest control chemicals (e.g.,
rodenticides, insecticides, fungicides, etc.) used on plant grounds.
2. Stormwater controls.
a. Routine facility inspections. At a minimum, the
following areas, where the potential for exposure to stormwater exists, shall
be inspected on a quarterly basis: loading and unloading areas for all
significant materials; storage areas, including associated containment areas;
waste management units; vents and stacks emanating from industrial activities;
spoiled product and broken product container holding areas; animal holding pens;
staging areas; and air pollution control equipment. The requirement for routine
facility inspections is waived for facilities that have maintained an active
VEEP E3/E4 status.
b. Employee training. The employee training program shall
also address pest control.
D. C. Benchmark monitoring and reporting
requirements. Dairy products, grain mills and fats and oils products facilities
are required to monitor their stormwater discharges for the pollutants of
concern listed in Table 280.
Table 280 |
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Pollutants of Concern |
Benchmark Concentration |
Dairy Products (SIC Codes 2021‑2026) |
|
Biochemical Oxygen Demand (BOD5) |
30 mg/L |
Total Suspended Solids (TSS) |
100 mg/L |
Grain Mill Products (SIC Codes 2041‑2048) |
|
Total Kjeldahl Nitrogen (TKN) |
1.5 mg/L |
Total Suspended Solids (TSS) |
100 mg/L |
Fats and Oils Products (SIC Codes 2074‑2079) |
|
Biochemical Oxygen Demand (BOD5) |
30 mg/L |
Total Nitrogen |
2.2 mg/L |
Total Suspended Solids (TSS) |
100 mg/L |
9VAC25-151-290. Sector V - Textile mills, apparel, and other
fabric products. (Repealed)
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with industrial
activity from textile mills, apparel and other fabric product manufacturing,
generally described by SIC 22 and 23. This section also covers facilities
engaged in manufacturing finished leather and artificial leather products (SIC
31, except 3111). Facilities in this sector are primarily engaged in the
following activities: textile mill products, of and regarding facilities and
establishments engaged in the preparation of fiber and subsequent manufacturing
of yarn, thread, braids, twine, and cordage, the manufacturing of broad woven
fabrics, narrow woven fabrics, knit fabrics, and carpets and rugs from yarn;
processes involved in the dyeing and finishing of fibers, yarn fabrics, and
knit apparel; the integrated manufacturing of knit apparel and other finished
articles of yarn; the manufacturing of felt goods (wool), lace goods, nonwoven
fabrics, miscellaneous textiles, and other apparel products.
B. Special conditions. Prohibition of nonstormwater
discharges. In addition to the general nonstormwater prohibition in Part I B 1,
the following discharges are not covered by this permit: discharges of
wastewater (e.g., wastewater as a result of wet processing or from any
processes relating to the production process); reused or recycled water; and
waters used in cooling towers. These discharges must be covered under a
separate VPDES permit.
C. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the SWPPP shall include, at a
minimum, the following items.
1. Site description. Summary of potential pollutant sources.
The plan shall include a description of the potential pollutant sources from
the following activities: industry-specific significant materials and
industrial activities (e.g., backwinding, beaming, bleaching, backing, bonding
carbonizing, carding, cut and sew operations, desizing, drawing, dyeing,
flocking, fulling, knitting, mercerizing, opening, packing, plying, scouring,
slashing, spinning, synthetic-felt processing, textile waste processing,
tufting, turning, weaving, web forming, winging, yarn spinning, and yarn
texturing).
2. Stormwater controls.
a. Good housekeeping measures.
(1) Material storage areas. All containerized materials
(e.g., fuels, petroleum products, solvents, dyes, etc.) shall be clearly
labeled and stored in a protected area, away from drains. The permittee shall
describe and implement measures that prevent or minimize contamination of
stormwater runoff from such storage areas, and shall include a description of
the containment area or enclosure for those materials that are stored outdoors.
The permittee may consider an inventory control plan to prevent excessive
purchasing of potentially hazardous substances. The permittee shall ensure that
empty chemical drums and containers are clean (triple-rinsing shall be
considered) and residuals are not subject to contact with precipitation or
runoff. Washwater from these cleanings shall be collected and disposed of
properly.
(2) Material handling area. The permittee shall describe
and implement measures that prevent or minimize contamination of the stormwater
runoff from materials handling operations and areas. The permittee shall
consider the following measures (or their equivalents): use of spill and
overflow protection; covering fueling areas; and covering and enclosing areas
where the transfer of materials may occur. Where applicable, the plan shall
address the replacement or repair of leaking connections, valves, transfer
lines and pipes that may carry chemicals, dyes, or wastewater.
(3) Fueling areas. The permittee shall describe and
implement measures that prevent or minimize contamination of the stormwater
runoff from fueling areas. The permittee shall consider the following measures
(or their equivalents): covering the fueling area; using spill and overflow
protection; minimizing runon of stormwater to the fueling areas; using dry
cleanup methods; and treating or recycling stormwater runoff collected from the
fueling area.
(4) Aboveground storage tank areas. The permittee shall
describe and implement measures that prevent or minimize contamination of the
stormwater runoff from aboveground storage tank areas, including the associated
piping and valves. The permittee shall consider the following measures (or
their equivalents): regular cleanup of these areas; preparation of a spill
prevention control and countermeasure program (SPCC) to provide spill and
overflow protection; minimizing runon of stormwater from adjacent areas;
restricting access to the area; insertion of filters in adjacent catch basins;
absorbent booms in unbermed fueling areas; use of dry cleanup methods; and
permanently sealing drains within critical areas that may discharge to a storm
drain.
b. Routine facility inspections. Inspections shall be
conducted at least monthly, and shall include the following activities and
areas (at a minimum): transfer and transmission lines; spill prevention; good
housekeeping practices; management of process waste products; all structural
and nonstructural management practices. The requirement for routine facility
inspections is waived for facilities that have maintained an active VEEP E3/E4
status.
c. Employee training. Employee training shall, at a minimum
address, the following areas when applicable to a facility: use of reused or
recycled waters; solvents management; proper disposal of dyes; proper disposal
of petroleum products and spent lubricants; spill prevention and control;
fueling procedures; and general good housekeeping practices.
9VAC25-151-300. Sector W - Furniture and fixtures. (Repealed)
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with industrial
activity from facilities involved in the manufacturing of wood kitchen cabinets
(generally described by SIC Code 2434), and furniture and fixtures (generally
classified under SIC Major Group 25), including: household furniture (SIC 251);
office furniture (SIC 252); public buildings and related furniture (SIC 253);
partitions, shelving, lockers, and office and store fixtures (SIC 254); and
miscellaneous furniture and fixtures (SIC 259).
B. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the SWPPP shall include, at a
minimum, the following item:
Site Map. The site map shall identify where any of the
following may be exposed to precipitation or surface runoff: material storage
areas (including tanks or other vessels used for liquid or waste storage);
outdoor material processing areas; areas where wastes are treated, stored or
disposed; access roads; and rail spurs.
9VAC25-151-310. Sector X - Printing and publishing. (Repealed)
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with industrial
activity from printing and publishing facilities (generally classified under
SIC Major Group 27), and include the following types of facilities: newspaper,
periodical, and book publishing and printing (SIC Codes 271 through 273);
miscellaneous publishing (SIC Code 274); commercial printing (SIC Code 275);
manifold business forms, greeting cards, bankbooks, looseleaf binders and book
binding and related work (SIC Codes 276 through 278); and service industries
for the printing trade (SIC 279).
B. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the SWPPP shall include, at a
minimum, the following items:
1. Site description. Summary of potential pollutant sources.
The plan shall include a description of the following additional sources and
activities that have potential pollutants associated with them, as applicable:
loading and unloading operations; outdoor storage activities; significant dust
or particulate generating processes; and on-site waste disposal practices
(e.g., blanket wash). Also, the pollutant or pollutant parameter (e.g., oil and
grease, scrap metal, etc.) associated with each pollutant source shall be
identified.
2. Stormwater controls.
a. Good housekeeping measures.
(1) Material storage areas. All containerized materials
(skids, pallets, solvents, bulk inks, and hazardous waste, empty drums,
portable or mobile containers of plant debris, wood crates, steel racks, fuel
oil, etc.) shall be properly labeled and stored in a protected area, away from
drains. The permittee shall describe and implement measures that prevent or
minimize contamination of the stormwater runoff from such storage areas and
shall include a description of the containment area or enclosure for those
materials which are stored outdoors. The permittee may consider an inventory
control plan to prevent excessive purchasing of potentially hazardous
substances.
(2) Material handling areas. The permittee shall describe
and implement measures that prevent or minimize contamination of the stormwater
runoff from material handling operations and areas (e.g., blanket wash, mixing
solvents, loading and unloading materials). The permittee shall consider the
following measures (or their equivalents): the use of spill and overflow protection;
covering fuel areas; and covering or enclosing areas where the transfer of
materials may occur. When applicable, the plan shall address the replacement or
repair of leaking connections, valves, transfer lines and pipes that may carry
chemicals, or wastewater.
(3) Fueling areas. The permittee shall describe and
implement measures that prevent or minimize contamination of the stormwater
runoff from fueling areas. The permittee shall consider the following measures
(or their equivalents): covering the fueling area; using spill and overflow
protection; minimizing runon of stormwater to the fueling area; using dry
cleanup methods; and treating or recycling stormwater runoff collected from the
fueling areas.
(4) Aboveground storage tank areas. The permittee shall
describe and implement measures that prevent or minimize contamination of the
stormwater runoff from aboveground storage tank areas, including the associated
piping and valves. The permittee shall consider the following measures (or
their equivalents): regular cleanup of these areas; preparation of a spill
prevention control and countermeasure program (SPCC) to provide spill and
overflow protection; minimizing runon of stormwater from adjacent facilities
and properties; restricting access to the area; insertion of filters in
adjacent catch basins; absorbent booms in unbermed fueling areas; use of dry
cleanup methods; and permanently sealing drains within critical areas that may
discharge to a storm drain.
b. Employee training. Employee training shall, at a
minimum, address the following areas when applicable to a facility: spent
solvent management; spill prevention and control; used oil management; fueling
procedures; and general good housekeeping practices.
9VAC25-151-320. Sector Y - Rubber, miscellaneous plastic products, and miscellaneous manufacturing industries.
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with industrial
activity from rubber and miscellaneous plastic products manufacturing
facilities (SIC Major Group 30) and miscellaneous manufacturing industries,
except jewelry, silverware, and plated ware (SIC Major Group 39, except 391),
SIC Codes 3011, 3021, 3052, 3061, and 3069.
B. Stormwater pollution prevention plan SWPPP
requirements. In addition to the requirements of Part III, the SWPPP shall
include, at a minimum, the following items:
1. Site description. Summary of potential pollutant sources. Rubber manufacturing facilities shall review the use of zinc at the facility and the possible pathways through which zinc may be discharged in stormwater runoff.
2. Stormwater controls.
a. Controls for rubber manufacturers. Rubber manufacturing
facilities shall describe and implement specific controls to minimize the
discharge of zinc in stormwater discharges from the facility. Listed below are
possible sources of zinc. These shall be reviewed and the accompanying control
measures (or their equivalents) shall be considered documented in
the SWPPP. Also, some general control measure options to consider include:
using chemicals that are purchased in pre-weighed, sealed polyethylene bags;
storing materials that are in use in sealable containers; ensuring an airspace
between the container and the cover to minimize "puffing" losses when
the container is opened; and using automatic dispensing and weighing equipment.
(1) Zinc bags. All permittees shall review the handling and storage of zinc bags at their facilities. Following are some control measure options: employee training regarding the handling and storage of zinc bags; indoor storage of zinc bags; cleanup of zinc spills without washing the zinc into the storm drain; and the use of 2,500-pound sacks of zinc rather than 50- to 100-pound sacks.
(2) Dumpsters. The permittee shall minimize discharges of zinc from dumpsters. Following are some control measure options: provide a cover for the dumpster; move the dumpster to an indoor location; or provide a lining for the dumpster.
(3) Dust collectors or baghouses. Permittees shall minimize contributions of zinc to stormwater from dust collectors and baghouses. Improperly operating dust collectors and baghouses shall be replaced or repaired as appropriate.
(4) Grinding operations. Permittees shall minimize contamination of stormwater as a result of dust generation from rubber grinding operations. One control measure option is to install a dust collection system.
(5) Zinc stearate coating operations. Permittees shall minimize the potential for stormwater contamination from drips and spills of zinc stearate slurry that may be released to the storm drain. One control measure option is to use alternative compounds to zinc stearate.
b. Controls for plastic products manufacturers. Plastic
products manufacturing facilities shall describe and implement specific
controls to minimize the discharge of plastic resin pellets in stormwater
discharges from the facility. The following control measures (or their
equivalents) shall be considered documented in the SWPPP:
minimizing spills; cleaning up of spills promptly immediately and
thoroughly; sweeping thoroughly; pellet capturing; employee education; and
disposal precautions.
C. Benchmark monitoring and reporting requirements. Rubber product manufacturing facilities are required to monitor their stormwater discharges for the pollutants of concern listed in Table 320.
Table 320 |
|
Pollutants of Concern |
Benchmark Concentration |
Tires and Inner Tubes; Rubber Footwear; Gaskets, Packing and Sealing Devices; Rubber Hose and Belting; and Fabricated Rubber Products, Not Elsewhere Classified (SIC Codes 3011-3069). |
|
Total Recoverable Zinc |
120 µg/L |
9VAC25-151-330. Sector Z - Leather tanning and finishing.
(Repealed)
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with
industrial activity from leather tanning, currying and finishing (commonly
identified by SIC Code 3111).
B. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the SWPPP shall include, at a
minimum, the following items.
1. Site description.
a. Site map. The site map shall identify where any of the
following may be exposed to precipitation or surface runoff: processing and
storage areas of the beamhouse, tanyard, retan-wet finishing and dry finishing
operations.
b. Summary of potential pollutant sources. A description of
potential pollutant sources including (as appropriate): temporary or permanent
storage of fresh and brine cured hides; leather dust, scraps, trimmings and
shavings; and extraneous hide substances and hair.
2. Stormwater controls.
a. Good housekeeping.
(1) Storage areas for raw, semiprocessed, or finished
tannery by-products. Pallets and bales of raw, semiprocessed or finished
tannery by-products (e.g., splits, trimmings, shavings, etc.) shall be stored indoors
or protected by polyethylene wrapping, tarpaulins, roofed storage area or other
suitable means. Materials shall be placed on an impermeable surface, the area
shall be enclosed or bermed, or other equivalent measures shall be employed to
prevent runon or runoff of stormwater.
(2) Material storage areas. Storage units of all materials
should be labeled (e.g., specific chemicals, hazardous materials, spent
solvents, waste materials). The permittee shall describe and implement measures
that prevent or minimize contact with stormwater.
(3) Buffing and shaving areas. The permittee shall describe
and implement measures that prevent or minimize contamination of the stormwater
runoff with leather dust from buffing and shaving areas. The permittee may
consider dust collection enclosures, preventive inspection and maintenance
programs or other appropriate preventive measures.
(4) Receiving, unloading, and storage areas. The permittee
shall describe and implement measures that prevent or minimize contamination of
the stormwater runoff from receiving, unloading, and storage areas. The
following measures (or their equivalents) shall be considered for exposed
receiving, unloading and storage areas: hides and chemical supplies protected
by a suitable cover; diversion of drainage to the process sewer; and grade
berming or curbing area to prevent runoff of stormwater.
(5) Outdoor storage of contaminated equipment. The
permittee shall describe and implement measures that prevent or minimize
contact of stormwater with contaminated equipment. The following measures (or
their equivalents) shall be considered: equipment protected by suitable cover;
diversion of drainage to the process sewer; thorough cleaning prior to storage.
(6) Waste management. The permittee shall describe and
implement measures that prevent or minimize contamination of the stormwater
runoff from waste storage areas. The permittee shall consider the following
measures (or their equivalents): inspection and maintenance programs for
leaking containers or spills; covering dumpsters; moving waste management
activities indoors; covering waste piles with temporary covering material such
as tarpaulins or polyethylene; and minimizing stormwater runoff by enclosing
the area or building berms around the area.
C. Benchmark monitoring and reporting requirements. Leather
tanning and finishing facilities are required to monitor their stormwater
discharges for the pollutants of concern listed in Table 330.
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9VAC25-151-340. Sector AA - Fabricated metal products.
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with
industrial activity from the following fabricated metals industry listed
below, except for electrical related industries: fabricated metal products,
except machinery and transportation equipment (SIC Code 34);, SIC
Codes 3411-3471, 3471, and 3482-3499; and jewelry, silverware, and plated
ware (SIC Code 391), SIC Codes 3911-3915.
B. Stormwater pollution prevention plan requirements. In
addition to the requirements of Part III, the SWPPP shall include, at a
minimum, the following items.
1. Site description.
a. Site Map. The site map shall identify where any of the
following may be exposed to precipitation or surface runoff: raw metal storage
areas; finished metal storage areas; scrap disposal collection sites; equipment
storage areas; retention and detention basins; temporary or permanent diversion
dikes or berms; right-of-way or perimeter diversion devices; sediment traps or
barriers; processing areas including outside painting areas; wood preparation;
recycling; and raw material storage.
b. Spills and Leaks. When listing significant spills and
leaks, the permittee shall pay attention to the following materials, at a
minimum: chromium, toluene, pickle liquor, sulfuric acid, zinc and other water
priority chemicals and hazardous chemicals and wastes.
c. Summary of potential pollutant sources. The plan shall
include a description of the potential pollutant sources from the following
activities: loading and unloading operations for paints, chemicals and raw
materials; outdoor storage activities for raw materials, paints, empty
containers, corn cob, chemicals, scrap metals; outdoor manufacturing or
processing activities such as grinding, cutting, degreasing, buffing, brazing,
etc.; and on-site waste disposal practices for spent solvents, sludge, pickling
baths, shavings, ingots pieces, refuse and waste piles.
2. Stormwater controls.
a. Good housekeeping.
(1) Raw steel handling storage. The permittee shall
describe and implement measures for managing or recovering scrap metals, fines,
and iron dust, including measures for containing materials within storage
handling areas.
(2) Paints and painting equipment. The permittee shall
describe and implement measures to prevent or minimize exposure of paint and
painting equipment from exposure to stormwater.
b. Spill prevention and response procedures. The permittee
shall ensure that the necessary equipment to implement a cleanup is available
to personnel. The following areas shall be addressed:
(1) Metal fabricating areas. The permittee shall describe
and implement measures for maintaining clean, dry, orderly conditions in these
areas. Use of dry clean-up techniques shall be considered in the plan.
(2) Storage areas for raw metal. The permittee shall
describe and implement measures to keep these areas free of conditions that
could cause, or impede appropriate timely response to, spills or leakage of
materials. The following measures (or their equivalents) shall be considered:
storage areas maintained such that there is easy access in the event of a
spill; stored materials labeled to aid in identifying spill contents.
(3) Metal working fluid storage areas. The permittee shall
describe and implement measures for storage of metal working fluids.
(4) Cleaners and rinse water. The permittee shall describe
and implement measures to control and clean up spills of solvents and other
liquid cleaners; control sand buildup and disbursement from sand-blasting
operations; and prevent exposure of recyclable wastes. Environmentally benign
cleaners shall be substituted when possible.
(5) Lubricating oil and hydraulic fluid operations. The
permittee shall describe and implement measures to minimize the potential for
stormwater contamination from lubricating oil and hydraulic fluid operations.
The permittee shall consider using devices or monitoring equipment or other
devices to detect and control leaks and overflows. The installation of
perimeter controls such as dikes, curbs, grass filter strips, or other
equivalent measures shall also be considered.
(6) Chemical storage areas. The permittee shall describe
and implement proper storage methods that prevent stormwater contamination and
accidental spillage. The plan shall include a program to inspect containers,
and identify proper disposal methods.
c. Inspections. Metal fabricators shall at a minimum
include the following areas for inspection: raw metal storage areas; finished
product storage areas; material and chemical storage areas; recycling areas;
loading and unloading areas; equipment storage areas; paint areas; and vehicle
fueling and maintenance areas.
d. Comprehensive site compliance evaluation. The site
compliance evaluation shall also include inspections of: areas associated with
the storage of raw metals; storage of spent solvents and chemicals; outdoor
paint areas; and roof drainage. Potential pollutants include chromium, zinc,
lubricating oil, solvents, aluminum, oil and grease, methyl ethyl ketone, steel
and other related materials.
C. B. Benchmark monitoring and reporting
requirements. Metal fabricating facilities are required to monitor their
stormwater discharges for the pollutants of concern listed in Table 340.
Table 340 |
|
Pollutants of Concern |
Benchmark Concentration |
Fabricated Metal Products Except Coating (SIC Codes 3411-3471, 3482-3499, 3911-3915) |
|
Total Recoverable Aluminum |
750 µg/L |
Total Recoverable Iron |
1.0 mg/L |
Total Recoverable Zinc |
120 µg/L |
Total Recoverable Copper |
18 μg/L |
Fabricated Metal Coating and Engraving (SIC Code 3479) |
|
Total Recoverable Zinc |
120 µg/L |
9VAC25-151-350. Sector AB - Transportation equipment, industrial, or commercial machinery.
A. Discharges covered under this section. The requirements
listed under this section apply to stormwater discharges associated with industrial
activity from transportation equipment, and industrial or
commercial machinery manufacturing facilities (commonly described by SIC
Major Group 35 (except SIC Code 357), and SIC Major Group 37 (except SIC Code
373)) commonly described by SIC Codes 3511-3599, except SIC Codes
3571-3579.
B. Stormwater pollution prevention plan SWPPP
requirements. In addition to the requirements of Part III, the SWPPP shall
include, at a minimum, the following item:
Site description. Site map. The site map shall identify where any of the following may be exposed to precipitation or surface runoff: vents and stacks from metal processing and similar operations.
C. Benchmark monitoring and reporting requirements. Transportation equipment manufacturing facilities are required to monitor their stormwater discharges for the pollutants of concern listed in Table 350.
Table 350 |
|
Pollutants of Concern |
Benchmark Concentration |
Transportation equipment manufacturing facilities |
|
Total Petroleum Hydrocarbons (TPH)* |
15.0 mg/L |
Total Suspended Solids (TSS) |
100 mg/L |
Total Recoverable Copper |
18 μg/L |
Total Recoverable Zinc |
120 μg/L |
*Total Petroleum Hydrocarbons (TPH) is the sum of individual gasoline range organics and diesel range organics (TPH-GRO and TPH-DRO) to be measured by EPA SW 846 Method 8015 for gasoline and diesel range organics, or by EPA SW 846 Methods 8260 Extended and 8270 Extended. |
9VAC25-151-360. Sector AC - Electronic, electrical equipment
and components, photographic and optical goods. (Repealed)
A. Discharges covered under this section. The requirements
listed under this section apply to storm water discharges associated with
industrial activity from facilities that manufacture: electronic and other
electrical equipment and components, except computer equipment (SIC Major Group
36); measuring, analyzing, and controlling instruments; photographic, medical
and optical goods; watches and clocks (SIC Major Group 38) and computer and
office equipment (SIC Code 357).
B. Additional requirements. No additional sector-specific
requirements apply to this sector.
9VAC25-151-370. Sector AD - Nonclassified facilities/stormwater discharges designated by the board as requiring permits.
A. Discharges covered under this section. Sector AD is used to
provide permit coverage for facilities designated by the board as needing a
stormwater permit under the provisions of 9VAC25-31-120 A 1 c or under
9VAC25-31-120 A 7 a (1) or (2) of the VPDES Permit Regulation. Therefore,
almost any type of stormwater discharge could may be covered
under this sector. Permittees shall be assigned to Sector AD by the board and
may not choose Sector AD as the sector describing the facility's activities.
B. Additional requirements. No additional sector-specific
requirements apply to this sector.
C. B. Benchmark monitoring and reporting
requirements. Nonclassified facilities/stormwater discharges designated by
the board as requiring permits are required to monitor their stormwater
discharges for the pollutants of concern listed in Table 370. The board
shall establish any additional monitoring requirements for your facility prior
to authorizing coverage under this permit.
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9VAC25-151-380. Sector AE - Facilities with no analytical benchmark monitoring requirements.
A. Discharges covered under this section. The requirements listed under this section apply to stormwater discharges associated with industrial activity from facilities with SIC Codes 2611, 2621, 2652‑2657, 2833‑2836, 2851, 2861‑2869, 2891‑2899, 3952, 2992, 2999, 3211, 3221, 3229, 3231, 3241, 3281, 3291‑3299, 3331‑3339, 3398, 3399, 3341, 1311, 1321, 1381‑1389, 2911, 4512‑4581, Treatment Works (TW), 2011‑2015, 2032‑2038, 2051‑2053, 2061‑2068, 2082‑2087, 2091‑2099, 2111‑2141, 2211‑2299, 2311‑2399, 3131‑3199, 2434, 2511‑2599, 2711‑2796, 3081‑3089, 3931, 3942‑3949, 3951‑3955 (except 3952 facilities as specified in Sector C), 3961, 3965, 3991‑3999, 3111, 3711‑3799 (except 3731 and 3732 as identified in Sector Q), 3571‑3579, 3612‑3699, and 3812‑3873.
B. No additional sector-specific requirements apply to this sector.
9VAC25-151-390. Sector AF- Facilities limited to total suspended solids benchmark monitoring requirements.
A. Discharges covered under this section. The requirements listed under this section apply to stormwater discharges associated with industrial activity from facilities with SIC Codes 2411, 2421, 2426, 2429, 2431‑2433, 2435‑2439, 2441, 2448, 2449, 2451, 2452, 2493, 4011, 4013, 4111‑4173, 4212‑4231, 4311, and 5171.
B. Benchmark monitoring and reporting requirements. Facilities or stormwater discharges included in this sector are required to monitor their stormwater discharges for the pollutants of concern listed in Table 390.
Table 390 Sector AF- Benchmark Monitoring Requirements |
|
Pollutants of Concern |
Benchmark Concentration |
Facilities Limited to Total Suspended Solids Benchmark Monitoring Requirements |
|
Total Suspended Solids (TSS) |
100 mg/L |