WAC 173-340-450
Releases from underground storage tanks. (1) Purpose. The purpose of this section is to set forth the
requirements for addressing releases that may pose a threat to
human health or the environment from an underground storage tank
(UST) regulated under chapter 90.76 RCW.
(a) Releases from USTs exempted under chapter 90.76 RCW and
rules adopted therein are still subject to all other requirements
of this chapter.
(b) Unless the department requires otherwise, UST owners and
UST operators regulated under chapter 90.76 RCW shall comply with
the requirements in this section after confirmation of an UST
release that may pose a threat to human health or the
environment.
(2) Initial response. Within twenty-four hours of
confirmation of an UST release, the UST owner or the UST operator
shall perform the following actions:
(a) Report the UST release to the department and other
authorities with jurisdiction, in accordance with rules adopted
under chapter 90.76 RCW and any other applicable law;
(b) Remove as much of the hazardous substance from the UST
as is possible and necessary to prevent further release to the
environment;
(c) Eliminate or reduce any fire, explosion or vapor hazards
in such a way as to minimize any release of hazardous substances
to surface water and ground water; and
(d) Visually inspect any aboveground releases or exposed
belowground releases and prevent the hazardous substance from
spreading into surrounding soils, ground water and surface water.
(3) Interim actions.
(a) As soon as possible but no later than twenty days
following confirmation of an UST release, the UST owner or the
UST operator shall perform the following interim actions:
(i) Continue to monitor and mitigate any additional fire and
safety hazards posed by vapors or free product that may have
migrated from the UST into structures in the vicinity of the
site, such as sewers or basements;
(ii) Reduce the threat to human health and the environment
posed by contaminated soils that are excavated or discovered as a
result of investigation or cleanup activities. Treatment,
storage and disposal of soils must be carried out in compliance
with all applicable federal, state and local requirements;
(iii) Test for hazardous substances in the environment where
they are most likely to be present. Such testing shall be done
in accordance with a sampling and analysis plan prepared under
WAC 173-340-820. The sample types, sample locations, and
measurement methods shall be based on the nature of the stored
substance, type of subsurface soils, depth to ground water and
other factors as appropriate for identifying the presence and
source of the release. If contaminated soil is found in contact
with the ground water or soil contamination appears to extend
below the lowest soil sampling depth, then testing shall include
the installation of ground water monitoring wells to test for the
presence of possible ground water contamination. Information
gathered for the site check or closure site assessment conducted
under rules adopted under chapter 90.76 RCW, which sufficiently
characterizes the releases at the site, may be substituted for
the testing required under this paragraph;
(iv) The testing performed under (a)(iii) of this subsection
shall use the analytical methods specified in WAC 173-340-830 and
include, at a minimum, the following:
(A) For petroleum product releases, the concentration(s) of
hazardous substances potentially present at the site, as
appropriate for the type of petroleum product(s) released. The
minimum testing requirements are specified in Table 830-1.
(B) The hazardous substance stored and any likely
decomposition by-products where a hazardous substance other than
petroleum may be present; and
(C) Any other tests required by the department; and
(v) Investigate for the presence of free product.
(4) Free product removal. At sites where investigations
indicate free product is present, the UST owner or the UST
operator shall conduct, as soon as possible after discovery, an
interim action to remove the free product while continuing, as
necessary, any other actions required under this section. To
accomplish this the UST owner or UST operator shall:
(a) Conduct free product removal to the maximum extent
practicable and in a manner that minimizes the spread of
hazardous substances, by using recovery and disposal techniques
appropriate to the hydrogeologic conditions at the site. The
objective of free product removal system must be, at a minimum,
to stop the free product migration;
(b) Properly treat, discharge, or dispose of any hazardous
substance, water, sludge or any other materials collected in the
free product removal process in compliance with all applicable
local, state, and federal regulations and permits; and
(c) Handle all flammable products safely to prevent fires
and explosions.
(5) Reporting requirements. The following reports are
required to be submitted to the department:
(a) Status report. Within twenty days after an UST release,
the UST owner or UST operator shall submit a status report to the
department. The status report shall identify if known, the
types, amounts, and locations of hazardous substances released,
how the release occurred, evidence confirming the release,
actions taken under subsections (2) and (3) of this section, any
planned remedial actions, and any results of work done up to the
time of the report. This report may be provided verbally to the
department.
(b) Site characterization reports. Within ninety days after
release confirmation, unless directed to do otherwise by the
department, the UST owner or UST operator shall submit a report
to the department about the site and nature of the release. This
report shall be submitted to the department in writing and may be
combined with the twenty-day status report, if the information
required is available at that time. The site characterization
report shall include, at a minimum, the following information:
(i) The information required for the status report under (a)
of this subsection;
(ii) A site conditions map indicating approximate boundaries
of the property, all areas where hazardous substances are known
or suspected to be located, and sampling locations. This map may
consist of a sketch of the site at a scale sufficient to
illustrate this information;
(iii) Available data regarding surrounding populations,
surface and ground water quality, use and approximate location of
wells potentially affected by the release, subsurface soil
conditions, depth to ground water, direction of ground water
flow, proximity to and potential for affecting surface water,
locations of sewers and other potential conduits for vapor or
free product migration, surrounding land use, and proximity to
sensitive environments;
(iv) Results of tests for hazardous substances performed
under subsection (3)(a)(iii) and (iv) of this section;
(v) Results of the free product investigation required under
subsection (3)(a)(v) of this section;
(vi) Results of all completed site investigations, interim
actions and cleanup actions and a description of any remaining
investigations, cleanup actions and compliance monitoring that
are planned or underway; and
(vii) Information on the free product removal efforts at
sites where investigations indicate free product is present. This shall include, at a minimum, the following information:
(A) Name of the person responsible for implementing the free
product removal measures;
(B) The estimated quantity, type, and thickness of free
product observed or measured in wells, boreholes and excavations;
(C) The type of free product recovery system used;
(D) The location of any on-site or off-site discharge during
the recovery operation;
(E) The type of treatment applied to, and the effluent
quality expected from, any discharge;
(F) The steps taken and planned to obtain necessary permits
for any discharge;
(G) Disposition of recovered free product; and
(viii) Any other information required by the department.
(6) Remedial investigation and feasibility study.
(a) If the initial cleanup actions taken at an UST site do
not achieve cleanup levels throughout the site, a remedial
investigation and feasibility study may need to be conducted in
accordance with WAC 173-340-350. The scope of a remedial
investigation and feasibility study will depend on the
informational needs at the site. UST owners and operators shall
conduct a remedial investigation and feasibility study for sites
where the following conditions exist:
(i) There is evidence that the release has caused hazardous
substances to be present in the ground water in excess of the
ground water standards adopted under chapter 90.48 RCW or cleanup
levels in WAC 173-340-720 (Table 720-1);
(ii) Free product is found; or
(iii) Where otherwise required by the department.
(b) UST owners and UST operators shall submit the
information collected for the remedial investigation/feasibility
study to the department as soon as practicable. The information
may be included with other reports submitted under this section.
(c) If the department determines, based on the results of
the remedial investigation/feasibility study or other
information, that additional remedial action is required, the
department may require the UST owner or the UST operator to
submit engineering documents as described in WAC 173-340-400.
(7) Cleanup actions. Unless directed to do otherwise by the
department, cleanup actions performed by UST owners or UST
operators shall comply with the cleanup standards described in
WAC 173-340-700 through 173-340-760 and the requirements for the
selection of cleanup actions in WAC 173-340-350 through173-340-390
.
(8) Independent cleanup actions. In addition to work
performed under subsections (2) through (5), and (7) of this
section, UST owners or UST operators performing independent
cleanup actions shall:
(a) Notify the department of their intention to begin
cleanup. This can be included with other reports under this
section;
(b) Comply with any conditions imposed by the department to
assure adequate protection of human health and the environment;
and
(c) Within ninety days of completion of the cleanup action,
submit the results of all investigations, interim and cleanup
actions and compliance monitoring not previously submitted to the
department.
[Statutory Authority: Chapter 70.105D RCW. 01-05-024 (Order
97-09A), § 173-340-450, filed 2/12/01, effective 8/15/01;
91-04-019, § 173-340-450, filed 1/28/91, effective 2/28/91.]