WAC 173-303-610
Closure and post-closure. (1)
Applicability.
(a) Subsections (2) through (6) of this section, (which
concern closure), apply to the owners and operators of all
dangerous waste facilities.
(b) Subsections (7) through (11) of this section, (which
concern post-closure care), apply to the owners and operators
of all regulated units (as defined in WAC 173-303-040) at
which dangerous waste will remain after closure, to tank
systems that are required under WAC 173-303-640(8) to meet the
requirements of landfills, to surface impoundments, waste
piles, and miscellaneous units as specified in WAC 173-303-650(6), 173-303-660(9), and 173-303-680(4),
respectively; to containment buildings that are required under
40 CFR 264.1102 (incorporated by reference at WAC 173-303-695)
to meet the requirements for landfills; and, unless otherwise
authorized by the department, to the owners and operators of
all facilities which, at closure, cannot meet the removal or
decontamination limits specified in subsection (2)(b) of this
section.
(c) Owners and operators of off-site recycling facilities
subject to WAC 173-303-120 (3) or (4), and off-site used oil
processors subject to regulation under WAC 173-303-515(9) are
subject to:
(i) WAC 173-303-610(2) Closure performance standard; and
(ii) WAC 173-303-610(12) Off-site recycling and used oil
processor closure plans.
(d) For the purposes of the closure and post-closure
requirements, any portion of a facility which closes is
subject to the applicable closure and post-closure standards
even if the rest of the facility does not close and continues
to operate.
(e) Except for subsection (2)(a) of this section, the
director may, in an enforceable document, replace all or part
of the requirements of this section and the unit-specific
requirements referenced in subsection (2)(b) of this section
with alternative requirements when he or she determines:
(i) A dangerous waste unit is situated among other solid
waste management units or areas of concern, a release has
occurred, and both the dangerous waste unit and one or more of
the solid waste management units or areas of concern are
likely to have contributed to the release; and
(ii) It is not necessary to apply the requirements of
this section (or the unit-specific requirements referenced in
subsection (2)(b) of this section) because the alternative
requirements will protect human health and the environment.
(2) Closure performance standard. The owner or operator
must close the facility in a manner that:
(a)(i) Minimizes the need for further maintenance;
(ii) Controls, minimizes or eliminates to the extent
necessary to protect human health and the environment,
post-closure escape of dangerous waste, dangerous
constituents, leachate, contaminated runoff, or dangerous
waste decomposition products to the ground, surface water,
ground water, or the atmosphere; and
(iii) Returns the land to the appearance and use of
surrounding land areas to the degree possible given the nature
of the previous dangerous waste activity.
(b) Where the closure requirements of this section, or of
WAC 173-303-630(10), 173-303-640(8), 173-303-650(6),
173-303-655(6), 173-303-655(8), 173-303-660(9),
173-303-665(6), 173-303-670(8), 173-303-680 (2) through (4),
or 40 CFR 264.1102 (incorporated by reference at WAC 173-303-695) call for the removal or decontamination of
dangerous wastes, waste residues, or equipment, bases, liners,
soils or other materials containing or contaminated with
dangerous wastes or waste residue, then such removal or
decontamination must assure that the levels of dangerous waste
or dangerous waste constituents or residues do not exceed:
(i) For soils, ground water, surface water, and air, the
numeric cleanup levels calculated using unrestricted use
exposure assumptions according to the Model Toxics Control Act
Regulations, chapter 173-340 WAC as of the effective date or
hereafter amended. Primarily, these will be numeric cleanup
levels calculated according to MTCA Method B, although MTCA
Method A may be used as appropriate, see WAC 173-340-700
through 173-340-760, excluding WAC 173-340-745; and
(ii) For all structures, equipment, bases, liners, etc.,
clean closure standards will be set by the department on a
case-by-case basis in accordance with the closure performance
standards of WAC 173-303-610 (2)(a)(ii) and in a manner that
minimizes or eliminates post-closure escape of dangerous waste
constituents.
(3) Closure plan; amendment of plan.
(a) The owner or operator of a dangerous waste management
facility must have a written closure plan. In addition,
certain surface impoundments and waste piles from which the
owner or operator intends to remove or decontaminate the
dangerous waste at partial or final closure are required by
WAC 173-303-650(6) and 173-303-660(9) to have contingent
closure plans. The plan must be submitted with the permit
application, in accordance with WAC 173-303-806(4), and
approved by the department as part of the permit issuance
procedures under WAC 173-303-840. The approved closure plan
will become a condition of any permit. The department's
decision must assure that the approved closure plan is
consistent with subsections (2), (3), (4), (5), and (6) of
this section, and the applicable requirements of WAC 173-303-630(10), 173-303-640(8), 173-303-645, 173-303-650(6),
173-303-655(8), 173-303-660(9), 173-303-665(6),
173-303-670(8), 173-303-680(2), and 40 CFR 264.1102
(incorporated by reference at WAC 173-303-695). A copy of the
approved plan and all revisions to the plan must be furnished
to the department upon request, including request by mail
until final closure is completed and certified in accordance
with subsection (6) of this section. The plan must identify
steps necessary to perform partial and/or final closure of the
facility at any point during its active life. The closure
plan must include at least:
(i) A description of how each dangerous waste management
unit at the facility will be closed in accordance with
subsection (2) of this section;
(ii) A description of how final closure of the facility
will be conducted in accordance with subsection (2) of this
section. The description must identify the maximum extent of
the operation which will be unclosed during the active life of
the facility;
(iii) An estimate of the maximum inventory of dangerous
wastes ever on-site over the active life of the facility. (Any change in this estimate is a Class 1 modification with
prior approval under WAC 173-303-830(4));
(iv) A detailed description of the methods to be used
during partial closures and final closure, including, but not
limited to, methods for removing, transporting, treating,
storing, or disposing of all dangerous wastes, and
identification of the type(s) of the off-site dangerous waste
management units to be used, if applicable;
(v) A detailed description of the steps needed to remove
or decontaminate all dangerous waste residues and contaminated
containment system components, equipment, structures, and
soils during partial and final closure, including, but not
limited to, procedures for cleaning equipment and removing
contaminated soils, methods for sampling and testing
surrounding soils, and criteria for determining the extent of
decontamination required to satisfy the closure performance
standard;
(vi) A detailed description of other activities necessary
during the closure period to ensure that all partial closures
and final closure satisfy the closure performance standards,
including, but not limited to, ground water monitoring,
leachate collection, and run-on and runoff control;
(vii) A schedule for closure of each dangerous waste
management unit and for final closure of the facility. The
schedule must include, at a minimum, the total time required
to close each dangerous waste management unit and the time
required for intervening closure activities which will allow
tracking of the progress of partial and final closure. (For
example, in the case of a landfill unit, estimates of the time
required to treat or dispose of all dangerous waste inventory
and of the time required to place a final cover must be
included.); and
(viii) For facilities that use trust funds to establish
financial assurance under WAC 173-303-620 (4) or (6) and that
are expected to close prior to the expiration of the permit,
an estimate of the expected year of final closure.
(ix) For facilities where the director has applied
alternative requirements under subsection (1)(d) of this
section, WAC 173-303-645 (1)(e), or 173-303-620 (8)(d), the
closure plan must include either the alternative requirements
or a reference to the enforceable document that contains the
alternative requirements.
(b) The owner or operator must submit a written
notification of or request for a permit modification to
authorize a change in operating plans, facility design, or the
approved closure plan in accordance with the applicable
procedures in WAC 173-303-800 through 173-303-840. The
written notification or request must include a copy of the
amended closure plan for review or approval by the department.
(i) The owner or operator may submit a written
notification or request to the department for a permit
modification to amend the closure plan at any time prior to
the notification of partial or final closure of the facility.
(ii) The owner or operator must submit a written
notification of or request for a permit modification to
authorize a change in the approved closure plan whenever:
(A) Changes in operating plans or facility design affect
the closure plan; or
(B) There is a change in the expected year of closure, if
applicable; or
(C) In conducting partial or final closure activities,
unexpected events require a modification of the approved
closure plan; or
(D) The owner/operator requests the director apply
alternative requirements under subsection (1)(d) of this
section, WAC 173-303-645 (1)(e), or 173-303-620 (8)(d).
(iii) The owner or operator must submit a written request
for a permit modification including a copy of the amended
closure plan for approval at least sixty days prior to the
proposed change in facility design or operation, or no later
than sixty days after an unexpected event has occurred which
has affected the closure plan. If an unexpected event occurs
during the partial or final closure period, the owner or
operator must request a permit modification no later than
thirty days after the unexpected event. An owner or operator
of a surface impoundment or waste pile that intends to remove
all dangerous waste at closure and is not otherwise required
to prepare a contingent closure plan under WAC 173-303-650(6)
or 173-303-660(9), must submit an amended closure plan to the
department no later than sixty days from the date that the
owner or operator or department determines that the dangerous
waste management unit must be closed as a landfill, subject to
the requirements of WAC 173-303-665, or no later than thirty
days from that date if the determination is made during
partial or final closure. The department will approve,
disapprove, or modify this amended plan in accordance with the
procedures in WAC 173-303-800 through 173-303-840. The
approved closure plan will become a condition of any permit
issued.
(iv) The department may request modifications to the plan
under the conditions described in (b)(ii) of this subsection. The owner or operator must submit the modified plan within
sixty days of the department's request, or within thirty days
if the change in facility conditions occurs during partial or
final closure. Any modifications requested by the department
will be approved in accordance with the procedures in WAC 173-303-800 through 173-303-840.
(c) Notification of partial closure and final closure.
(i) The owner or operator must notify the department in
writing at least sixty days prior to the date on which they
expect to begin closure of a surface impoundment, waste pile,
land treatment, or landfill unit, or final closure of a
facility with such a unit. The owner or operator must notify
the department in writing at least forty-five days prior to
the date on which they expect to begin closure of a treatment
or storage tank, container storage, or incinerator unit, or
final closure of a facility with only such units.
(ii) The date when he "expects to begin closure" must be
either:
(A) No later than thirty days after the date on which any
dangerous waste management unit receives the known final
volume of dangerous wastes or, if there is a reasonable
possibility that the dangerous waste management unit will
receive additional dangerous wastes, no later than one year
after the date on which the unit received the most recent
volume of dangerous waste. If the owner or operator of a
dangerous waste management unit can demonstrate to the
department that the dangerous waste management unit or
facility has the capacity to receive additional dangerous
wastes and he has taken, and will continue to take, all steps
to prevent threats to human health and the environment,
including compliance with all applicable permit requirements,
the department may approve an extension to this one-year
limit; or
(B) For units meeting the requirements of subsection
(4)(d) of this section, no later than thirty days after the
date on which the dangerous waste management unit receives the
known final volume of nondangerous wastes, or if there is a
reasonable possibility that the dangerous waste management
unit will receive additional nondangerous wastes, no later
than one year after the date on which the unit received the
most recent volume of nondangerous wastes. If the owner or
operator can demonstrate to the department that the dangerous
waste management unit has the capacity to receive additional
nondangerous wastes and he has taken, and will continue to
take, all steps to prevent threats to human health and the
environment, including compliance with all applicable permit
requirements, the department may approve an extension to this
one-year limit.
(iii) If the facility's permit is terminated, or if the
facility is otherwise ordered, by judicial decree or final
order to cease receiving dangerous wastes or to close, then
the requirements of (c) of this subsection do not apply. However, the owner or operator must close the facility in
accordance with the deadlines established in subsection (4) of
this section.
(iv) Removal of wastes and decontamination or dismantling
of equipment. Nothing in this subsection will preclude the
owner or operator from removing dangerous wastes and
decontaminating or dismantling equipment in accordance with
the approved partial or final closure plan at any time before
or after notification of partial or final closure.
(4) Closure; time allowed for closure.
(a) Within ninety days after receiving the final volume
of dangerous wastes, or the final volume of nondangerous
wastes if the owner or operator complies with all applicable
requirements in (d) and (e) of this subsection, at a dangerous
waste management unit or facility, the owner or operator must
treat, remove from the unit or facility, or dispose of on
site, all dangerous wastes in accordance with the approved
closure plan. The department may approve a longer period if
the owner or operator complies with all applicable
requirements for requesting a modification to the permit and
demonstrates that he has taken and will continue to take all
steps to prevent threats to human health and the environment,
including compliance with all applicable permit requirements,
and either:
(i) The activities required to comply with this paragraph
will, of necessity, take longer than ninety days to complete;
or
(ii)(A) The dangerous waste management unit or facility
has the capacity to receive additional dangerous wastes, or
has the capacity to receive nondangerous wastes if the owner
or operator complies with (d) and (e) of this subsection;
(B) There is a reasonable likelihood that he or another
person will recommence operation of the dangerous waste
management unit or the facility within one year; and
(C) Closure of the dangerous waste management unit or
facility would be incompatible with continued operation of the
site.
(b) The owner or operator must complete partial and final
closure activities in accordance with the approved closure
plan and within one hundred eighty days after receiving the
final volume of dangerous wastes, or the final volume of
nondangerous wastes if the owner or operator complies with all
applicable requirements in (d) and (e) of this subsection, at
the dangerous waste management unit or facility. The
department may approve an extension to the closure period if
the owner or operator complies with all applicable
requirements for requesting a modification to the permit and
demonstrates that he has taken and will continue to take all
steps to prevent threats to human health and the environment
from the unclosed but not operating dangerous waste management
unit or facility, including compliance with all applicable
permit requirements, and either:
(i) The partial or final closure activities will, of
necessity, take longer than one hundred eighty days to
complete; or
(ii)(A) The dangerous waste management unit or facility
has the capacity to receive additional dangerous wastes, or
has the capacity to receive nondangerous wastes if the owner
or operator complies with (d) and (e) of this subsection;
(B) There is reasonable likelihood that he or another
person will recommence operation of the dangerous waste
management unit or the facility within one year; and
(C) Closure of the dangerous waste management unit or
facility would be incompatible with continued operation of the
site.
(c) The demonstrations referred to in (a)(i) and (b)(i)
of this subsection must be made as follows: The
demonstrations in (a)(i) of this subsection must be made at
least thirty days prior to the expiration of the specified
ninety-day period; and the demonstration in (b)(i) of this
subsection must be made at least thirty days prior to the
expiration of the specified one hundred eighty-day period
unless the owner or operator is otherwise subject to the
deadlines in (d) of this subsection.
(d) The department may allow an owner or operator to
receive only nondangerous wastes in a landfill, land
treatment, or surface impoundment unit after the final receipt
of dangerous wastes at that unit if:
(i) The owner or operator requests a permit modification
in compliance with all applicable requirements in WAC 173-303-830 and 40 CFR Part 124 and in the permit modification
request demonstrates that:
(A) The unit has the existing design capacity as
indicated on the part A application to receive nondangerous
wastes; and
(B) There is a reasonable likelihood that the owner or
operator or another person will receive nondangerous wastes in
the unit within one year after the final receipt of dangerous
wastes; and
(C) The nondangerous wastes will not be incompatible with
any remaining wastes in the unit, or with the facility design
and operating requirements of the unit or facility under this
part; and
(D) Closure of the dangerous waste management unit would
be incompatible with continued operation of the unit or
facility; and
(E) The owner or operator is operating and will continue
to operate in compliance with all applicable permit
requirements; and
(ii) The request to modify the permit includes an amended
wastes analysis plan, ground water monitoring and response
program, human exposure assessment required under RCRA section
3019, and closure and post-closure plan, and updated cost
estimates and demonstrations of financial assurance for
closure and post-closure care as necessary and appropriate, to
reflect any changes due to the presence of dangerous
constituents in the nondangerous wastes, and changes in
closure activities, including the expected year of closure if
applicable under subsection (3)(a)(viii) of this section, as a
result of the receipt of nondangerous wastes following the
final receipt of dangerous wastes; and
(iii) The request to modify the permit includes
revisions, as necessary and appropriate, to affected
conditions of the permit to account for the receipt of
nondangerous wastes following receipt of the final volume of
dangerous wastes; and
(iv) The request to modify the permit and the
demonstration referred to in (d)(i) and (ii) of this
subsection are submitted to the department no later than one
hundred twenty days prior to the date on which the owner or
operator of the facility receives the known final volume of
dangerous wastes at the unit, or no later than ninety days
after the effective date of this rule in the state in which
the unit is located, whichever is later.
(e) In addition to the requirements in (d) of this
subsection, an owner or operator of a dangerous wastes surface
impoundment that is not in compliance with the liner and
leachate collection system requirements in 42 U.S.C. 3004
(o)(1) and 3005 (j)(1) or 42 U.S.C. 3004 (o)(2) or (3) or 3005
(j)(2), (3), (4) or (13) must:
(i) Submit with the request to modify the permit:
(A) A contingent corrective measures plan, unless a
corrective action plan has already been submitted under WAC 173-303-645(10); and
(B) A plan for removing dangerous wastes in compliance
with (e)(ii) of this subsection; and
(ii) Remove all dangerous wastes from the unit by
removing all dangerous liquids, and removing all dangerous
sludges to the extent practicable without impairing the
integrity of the liner(s), if any.
(iii) Removal of dangerous wastes must be completed no
later than ninety days after the final receipt of dangerous
wastes. The department may approve an extension to this
deadline if the owner or operator demonstrates that the
removal of dangerous wastes will, of necessity, take longer
than the allotted period to complete and that an extension
will not pose a threat to human health and the environment.
(iv) If a release that is a statistically significant
increase (or decrease in the case of pH) over background
values for detection monitoring parameters of constituents
specified in the permit or that exceeds the facility's ground
water protection standard at the point of compliance, if
applicable, is detected in accordance with the requirements in
WAC 173-303-645, the owner or operator of the unit:
(A) Must implement corrective measures in accordance with
the approved contingent corrective measures plan required by
(e)(i) of this subsection no later than one year after
detection of the release, or approval of the contingent
corrective measures plan, whichever is later;
(B) May continue to receive wastes at the unit following
detection of the release only if the approved corrective
measures plan includes a demonstration that continued receipt
of wastes will not impede corrective action; and
(C) May be required by the department to implement
corrective measures in less than one year or to cease the
receipt of wastes until corrective measures have been
implemented if necessary to protect human health and the
environment.
(v) During the period of corrective action, the owner or
operator must provide semiannual reports to the department
that describe the progress of the corrective action program,
compile all ground water monitoring data, and evaluate the
effect of the continued receipt of nondangerous wastes on the
effectiveness of the corrective action.
(vi) The department may require the owner or operator to
commence closure of the unit if the owner or operator fails to
implement corrective action measures in accordance with the
approved contingent corrective measures plan within one year
as required in (e)(iv) of this subsection, or fails to make
substantial progress in implementing corrective action and
achieving the facility's ground water protection standard or
background levels if the facility has not yet established a
ground water protection standard.
(vii) If the owner or operator fails to implement
corrective measures as required in (e)(iv) of this subsection
or if the department determines that substantial progress has
not been made pursuant to (e)(vi) of this subsection the
department will:
(A) Notify the owner or operator in writing that the
owner or operator must begin closure in accordance with the
deadline in (a) and (b) of this subsection and provide a
detailed statement of reasons for this determination; and
(B) Provide the owner or operator and the public, through
a newspaper notice, the opportunity to submit written comments
on the decision no later than twenty days after the date of
the notice.
(C) If the department receives no written comments, the
decision will become final five days after the close of the
comment period. The department will notify the owner or
operator that the decision is final, and that a revised
closure plan, if necessary, must be submitted within fifteen
days of the final notice and that closure must begin in
accordance with the deadlines in (a) and (b) of this
subsection.
(D) If the department receives written comments on the
decision, it will make a final decision within thirty days
after the end of the comment period, and provide the owner or
operator in writing and the public through a newspaper notice,
a detailed statement of reasons for the final decision. If
the department determines that substantial progress has not
been made, closure must be initiated in accordance with the
deadlines in (a) and (b) of this subsection.
(E) The final determinations made by the department under
(e)(vii)(C) and (D) of this subsection are not subject to
administrative appeal.
(5) Disposal or decontamination of equipment, structures
and soils. During the partial and final closure periods, all
contaminated equipment, structures and soils must be properly
disposed of or decontaminated unless otherwise specified in
WAC 173-303-640(8), 173-303-650(6), 173-303-655(8),
173-303-660(9), 173-303-665(6), or under the authority of WAC 173-303-680 (2) and (4). By removing any dangerous wastes or
dangerous constituents during partial and final closure, the
owner or operator may become a generator of dangerous waste
and must handle that waste in accordance with all applicable
requirements of WAC 173-303-170 through 173-303-230.
(6) Certification of closure. Within sixty days of
completion of closure of each dangerous waste management unit
(including tank systems and container storage areas), and
within sixty days of the completion of final closure, the
owner or operator must submit to the department by registered
mail, a certification that the dangerous waste management unit
or facility, as applicable, has been closed in accordance with
the specifications in the approved closure plan. The
certification must be signed by the owner or operator and by
an independent registered professional engineer. Documentation supporting the independent registered
professional engineer's certification must be furnished to the
department upon request until it releases the owner or
operator from the financial assurance requirements for closure
under WAC 173-303-620(4).
(7) Post-closure care and use of property.
(a) Post-closure care for each dangerous waste management
unit subject to post-closure requirements must begin after
completion of closure of the unit and continue for thirty
years after that date and must consist of at least the
following:
(i) Ground water monitoring and reporting as required by
WAC 173-303-645, 173-303-650, 173-303-655, 173-303-660,
173-303-665, and 173-303-680; and
(ii) Maintenance and monitoring of waste containment
systems as applicable.
(b) Any time preceding partial closure of a dangerous
waste management unit subject to post-closure care
requirements or final closure, or any time during the
post-closure period for a particular unit, the department may,
in accordance with the permit modification procedures in WAC 173-303-800 through 173-303-840:
(i) Shorten the post-closure care period applicable to
the dangerous waste management unit, or facility, if all
disposal units have been closed, if it finds that the reduced
period is sufficient to protect human health and the
environment (e.g., leachate or ground water monitoring
results, characteristics of the dangerous waste, application
of advanced technology, or alternative disposal, treatment, or
reuse techniques indicate that the dangerous waste management
unit or facility is secure); or
(ii) Extend the post-closure care period applicable to
the dangerous waste management unit or facility if it finds
that the extended period is necessary to protect human health
and the environment (e.g., leachate or ground water monitoring
results indicate a potential for migration of dangerous waste
at levels which may be harmful to human health and the
environment).
(c) The department may require, at partial or final
closure, continuation of any of the security requirements of
WAC 173-303-310 during part or all of the post-closure period
when:
(i) Dangerous wastes may remain exposed after completion
of partial or final closure; or
(ii) Access by the public or domestic livestock may pose
a hazard to human health.
(d) Post-closure use of property on or in which dangerous
wastes remain after partial or final closure must never be
allowed to disturb the integrity of the final cover, liner(s),
or any other components of any containment system, or the
function of the facility's monitoring systems, unless the
department finds that the disturbance:
(i) Is necessary to the proposed use of the property, and
will not increase the potential hazard to human health or the
environment; or
(ii) Is necessary to reduce a threat to human health or
the environment.
(e) All post-closure care activities must be in
accordance with the provisions of the approved post-closure
plan as specified in subsection (8) of this section.
(8) Post-closure plan; amendment of plan.
(a) The owner or operator of a dangerous waste disposal
unit must have a written post-closure plan. In addition,
certain surface impoundments and certain piles from which the
owner or operator intends to remove or decontaminate the
dangerous wastes at partial or final closure are required by
WAC 173-303-650 and 173-303-660, respectively, to have written
contingent post-closure plans. Owners or operators of surface
impoundments and waste piles not otherwise required to prepare
contingent post-closure plans under WAC 173-303-650 or 173-303-660 must submit a post-closure plan to the department
within ninety days from the date that the owner or operator or
department determines that the dangerous waste management unit
must be closed as a landfill, subject to the post-closure
requirements. The plan must be submitted with the permit
application, in accordance with WAC 173-303-806, and approved
by the department as part of the permit issuance procedures
under WAC 173-303-840. The approved post-closure plan will
become a condition of any permit issued.
(b) For each dangerous waste management unit subject to
the requirements of this subsection, the post-closure plan
must identify the activities which will be carried on after
closure and the frequency of these activities, and include at
least:
(i) A description of the planned ground water monitoring
activities and frequencies at which they will be performed;
(ii) A description of the planned maintenance activities,
and frequencies at which they will be performed to comply with
WAC 173-303-645, 173-303-650, 173-303-655, 173-303-660,
173-303-665, and 173-303-680 during the post-closure care
period, to ensure:
(A) The integrity of the cap and final cover or other
containment structures in accordance with the requirements of
173-303-645, 173-303-650, 173-303-655, 173-303-660,
173-303-665, and 173-303-680; and
(B) The function of the facility monitoring equipment;
(iii) The name, address, and phone number of the person
or office to contact about the dangerous waste disposal unit
or facility during the post-closure care period;
(iv) And, for facilities where the director has applied
alternative requirements under subsection (1)(d) of this
section, WAC 173-303-645 (1)(e) or 173-303-620 (8)(d), the
post-closure plan must include either the alternative
requirements or a reference to the enforceable document that
contains the alternative requirements.
(c) Until final closure of the facility, a copy of the
approved post-closure plan must be furnished to the department
upon request, including request by mail. After final closure
has been certified, the person or office specified in (b)(iii)
of this subsection must keep the approved post-closure plan
during the remainder of the post-closure period.
(d) Amendment of plan. The owner or operator must submit
a written notification of or request for a permit modification
to authorize a change in the approved post-closure plan in
accordance with the applicable requirements of WAC 173-303-800
through 173-303-840. The written notification or request must
include a copy of the amended post-closure plan for review or
approval by the department.
(i) The owner or operator may submit a written
notification or request to the department for a permit
modification to amend the post-closure plan at any time during
the active life of the facility or during the post-closure
care period.
(ii) The owner or operator must submit a written
notification of or request for a permit modification to
authorize a change in the approved post-closure plan whenever:
(A) Changes in operating plans or facility design affect
the approved post-closure plan; or
(B) There is a change in the expected year of final
closure, if applicable; or
(C) Events which occur during the active life of the
facility, including partial and final closures, affect the
approved post-closure plan; or
(D) The owner/operator requests the director to apply
alternative requirements under subsection (1)(d) of this
section, WAC 173-303-645 (1)(e), or 173-303-620 (8)(d).
(iii) The owner or operator must submit a written request
for a permit modification at least sixty days prior to the
proposed change in facility design or operation, or no later
than sixty days after an unexpected event has occurred which
has affected the post-closure plan. An owner or operator of a
surface impoundment or waste pile that intends to remove all
dangerous waste at closure and is not otherwise required to
submit a contingent post-closure plan under WAC 173-303-650 or 173-303-660 must submit a post-closure plan to the department
no later than ninety days after the date that the owner or
operator or department determines that the dangerous waste
management unit must be closed as a landfill, subject to the
requirements of WAC 173-303-665. The department will approve,
disapprove, or modify this plan in accordance with the
procedures in WAC 173-303-800 through 173-303-840. The
approved post-closure plan will become a permit condition.
(iv) The department may request modifications to the plan
under the conditions described in (d)(ii) of this subsection. The owner or operator must submit the modified plan no later
than sixty days after the department's request, or no later
than ninety days if the unit is a surface impoundment or waste
pile not previously required to prepare a contingent
post-closure plan. Any modifications requested by the
department will be approved, disapproved, or modified in
accordance with the procedures in WAC 173-303-800 through173-303-840
.
(9) Notice to local land authority. No later than the
submission of the certification of closure of each dangerous
waste disposal unit, the owner or operator of a disposal
facility must submit to the local zoning authority or the
authority with jurisdiction over local land use and to the
department a survey plat indicating the location and
dimensions of landfill cells or other dangerous waste disposal
units with respect to permanently surveyed benchmarks. This
plat must be prepared and certified by a professional land
surveyor. The plat filed with the local zoning authority or
the authority with jurisdiction over local land use must
contain a note, prominently displayed, which states the
owner's or operator's obligation to restrict disturbance of
the dangerous waste disposal unit in accordance with the
applicable requirements of this section. In addition, no
later than sixty days after certification of closure of each
dangerous waste disposal unit, the owner or operator must
submit to the local zoning authority or the authority with
jurisdiction over local land use and to the department, a
record of the type, location, and quantity of dangerous wastes
disposed of within each cell or other disposal unit of the
facility. For wastes disposed of before November 19, 1980
(March 12, 1982, for facilities subject to this chapter but
not subject to 40 CFR Part 264), the owner or operator must
identify the type, location, and quantity of the dangerous
wastes to the best of his knowledge and in accordance with any
records he has kept.
(10) Notice in deed to property.
(a) No later than sixty days after certification of
closure of each dangerous waste disposal unit, the owner or
operator must submit to the local zoning authority, or the
authority with jurisdiction over local land use, and to the
department a record of the type, location, and quantity of
dangerous wastes disposed of within each cell or other
disposal unit of the facility. For hazardous wastes (as
defined in WAC 173-303-040) disposed of before January 12,
1981, the owner or operator must identify the type, location,
and quantity of the dangerous wastes to the best of his
knowledge and in accordance with any records he has kept.
(b) Within sixty days of certification of closure of the
first dangerous waste disposal unit and within sixty days of
certification of closure of the last dangerous waste disposal
unit, the owner or operator must:
(i) Record, in accordance with state law, a notation on
the deed to the facility property, or on some other instrument
which is normally examined during title search, that will in
perpetuity notify any potential purchaser of the property
that:
(A) The land has been used to manage dangerous wastes;
(B) Its use is restricted under this section; and
(C) The survey plat and record of the type, location, and
quantity of dangerous wastes disposed of within each cell or
other dangerous waste disposal unit of the facility required
in subsection (9) of this section have been filed with the
local zoning authority, or the authority with jurisdiction
over local land use, and with the department; and
(ii) Submit a certification, signed by the owner or
operator, that he has recorded the notation specified in
(b)(i) of this subsection, including a copy of the document in
which the notation has been placed, to the department.
(c) If the owner or operator or any subsequent owner of
the land upon which a dangerous waste facility was located
wishes to remove dangerous wastes and dangerous waste
residues, the liner, if any, or contaminated soils, he must
request a modification to the post-closure permit in
accordance with the applicable requirements in WAC 173-303-800
through 173-303-840. The owner or operator must demonstrate
that the removal of dangerous wastes will satisfy the criteria
of subsection (7)(d) of this section. By removing dangerous
waste, the owner or operator may become a generator of
dangerous waste and must manage it in accordance with all
applicable requirements of this chapter. If he is granted a
permit modification or otherwise granted approval to conduct
such removal activities, the owner or operator may request
that the department approve either:
(i) The removal of the notation on the deed to the
facility property or other instrument normally examined during
title search; or
(ii) The addition of a notation to the deed or instrument
indicating the removal of the dangerous waste.
(11) Certification of completion of post-closure care. No later than sixty days after completion of the established
post-closure care period for each dangerous waste disposal
unit, the owner or operator must submit to the department, by
registered mail, a certification that the post-closure care
period for the dangerous waste disposal unit was performed in
accordance with the specifications in the approved
post-closure plan. The certification must be signed by the
owner or operator and an independent registered professional
engineer. Documentation supporting the independent registered
professional engineer's certification must be furnished to the
department upon request until he releases the owner or
operator from the financial assurance requirements for
post-closure care under WAC 173-303-620(6).
(12) Off-site recycling and used oil processor closure
plans. The owner or operator of an off-site recycling
facility subject to regulation under WAC 173-303-120 (3), (4),
or used oil processor or rerefiner subject to WAC 173-303-515(9) must have a written closure plan.
(a) Submittal. For new facilities, the closure plan must
be submitted with the notification required under WAC 173-303-060. For existing facilities, the closure plan must
be submitted within one hundred eighty days of the effective
date of this regulation. For closure plans denied under (b)
of this subsection that will be resubmitted, the amended plan
must be resubmitted within ninety days after the owner or
operator receives the denial.
(b) Review by department. Decision to approve or deny.
Closure plans must be submitted to department for review,
comment, approval or denial. The department decision to
approve a closure plan must assure it is consistent with
requirements in subsections (2) and (12) of this section. The
department decision to deny a closure plan must be justified
on the inability or unwillingness of the owner and operator to
meet requirements in subsections (2) and (12) of this section
or WAC 173-303-620 (1)(e). The department's decision may be
appealed under the provisions of WAC 173-303-845.
(c) Availability. A copy of the approved closure plan
and all updates to the plan must be maintained at the facility
and furnished to the department upon request, including
request by mail, until final closure is completed and
certified in accordance with subsection (6) of this section.
(d) Contents of plan. The closure plan must identify
steps necessary to perform final closure of recycling units at
any point during its active life. The closure plan must
include at least:
(i) An estimate of the maximum inventory of dangerous
wastes or used oil ever on-site over the active life of the
facility;
(ii) Descriptions, schedules, and disposal or
decontamination procedures in subsections (3), (4), (5), (6)
of this section, except any provisions dealing with permits,
permit applications, modifications or approvals. The term
"recycling unit" will replace the terms "dangerous waste
management unit" or "regulated unit" in these subsections. Any references to permits or permit modifications in these
subsections do not apply.
(e) Obligation to amend. At least sixty days prior to a
major change at an off-site recycling or used oil
processor/rerefining facility, the owners/operator of that
facility must submit an amended closure plan. A major change
may include the addition of a recycling or recovery process
that is subject to WAC 173-303-120 (3) or (4), any increase in
the maximum inventory of dangerous waste or used oil described
in the previously approved closure plan, the closure of an
existing resource reclamation unit, or a change in ownership
or operational control. The department must approve or deny,
with justification, the revised closure plan. Refer to (a) of
this subsection when a closure plan is denied if the closure
plan needs to be resubmitted. Alternatively, the owner or
operator may challenge the denial pursuant to WAC 173-303-845.
(f) Notification of closure. At least forty-five days
prior to closure, an owner/operator must provide written
notice to department of intent to close.
(g) Relationship to closure plans for permitted
facilities. A facility owner/operator that is subject to
permitting and closure planning requirements for storage,
treatment or disposal that is also required to prepare a
closure plan for off-site recycling or used oil
processing/rerefining, may satisfy the requirements of this
subsection by combining all closure requirements in a single
closure plan.
[Statutory Authority: Chapters 70.105, 70.105D, and 15.54 RCW
and RCW 70.105.007. 04-24-065 (Order 03-10), § 173-303-610,
filed 11/30/04, effective 1/1/05; 00-11-040 (Order 99-01), §
173-303-610, filed 5/10/00, effective 6/10/00. Statutory
Authority: Chapters 70.105 and 70.105D RCW. 98-03-018 (Order
97-03), § 173-303-610, filed 1/12/98, effective 2/12/98;
95-22-008 (Order 94-30), § 173-303-610, filed 10/19/95,
effective 11/19/95; 94-01-060 (Order 92-33), § 173-303-610,
filed 12/8/93, effective 1/8/94. Statutory Authority:
Chapters 70.105 and 70.105D RCW, 40 CFR Part 271.3 and RCRA §
3006 (42 U.S.C. 3251). 91-07-005 (Order 90-42), §
173-303-610, filed 3/7/91, effective 4/7/91. Statutory
Authority: Chapter 70.105 RCW. 89-02-059 (Order 88-24), §
173-303-610, filed 1/4/89; 87-14-029 (Order DE-87-4), §
173-303-610, filed 6/26/87; 84-14-031 (Order DE 84-22), §
173-303-610, filed 6/27/84. Statutory Authority: RCW 70.95.260 and chapter 70.105 RCW. 82-05-023 (Order DE 81-33),
§ 173-303-610, filed 2/10/82.]